Yannick Aron

Portfolio Manager

Yannick Aron

Responsibilities

Mr. Aron is a Portfolio Manager in the Corporate and Tax-Exempt Credit group within Fixed Income. He manages Putnam's Emerging Markets Debt, European High Yield, and Global High-Yield strategies. Mr. Aron is responsible for covering the European High Yield market. He joined Putnam in 2002 and has been in the investment industry since 1996.

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Experience

Years in the industry: 26
Years at Putnam Investments: 20

  • New Flag Asset Management, Quantitative Analyst, 2001–2002
  • Reech Capital, Consultant, Derivatives, 1999–2000
  • Donaldson Lufkin & Jenrette, Fixed Income Trader, 1996–1998
  • CNRS, Researcher, 1995–1996

Education

  • Ecole Polytechnique, M.A.
  • Universite d’Orsay, M.S.C.