top of page
Ariane
Dehn

Country Head Switzerland, BNP Paribas AM

Ariane Dehn has been serving as Country Head Switzerland for Wholesale and Institutional Clients at BNP Paribas Asset Management since March 2019. Prior to this, she worked at Janus Henderson Investors in Germany and Switzerland, most recently as Head of Sales for Germanic Switzerland and Austria. She has a total of 35 years of experience in the financial services sector.

Gonzague
Hachette

Investment Specialist, Fixed Income

Gonzague joined AXA IM in 2022 as an Investment Specialist covering Euro Investment Grade Credit strategies in Fixed Income. In his role, he is responsible for representing the investment team in driving business strategy, product pipeline and client engagements.
Prior to AXA IM, Gonzague spent 7 years at BlackRock in London where he occupied various functions. He worked as a Product Strategist covering Active Fixed Income strategies. He also worked in the Portfolio Analytics team, where he created and delivered Aladdin’s analytics across Active Fixed Income investment teams. He started his career at JP Morgan Private Bank in Geneva.
Gonzague holds a Master of Science degree in Corporate Finance & Banking and a Master degree in Management from EDHEC Business school.

Vicky
Browne

Investment Specialist, Fixed Income

Vicky is an Investment Specialist for the Global Aggregate and Absolute Return team at BNP Paribas Asset Management in London.
She is responsible for the communication, growth and commercialisation of the Global Aggregate and Absolute Return business.
Vicky joined BNP Paribas Asset Management in June 2023. Prior to her current role, Vicky was a Client Portfolio Manager in the Corporate Credit Team at Janus Henderson Investors, a role she had since 2018. Vicky started her career at Janus Henderson Investors in 2011.
Vicky holds a MSc in Finance from Bayes Business School and a BA in International Business, Finance and Economics from the University of Manchester.

Was Sie erwartet

With persistent uncertainty around rates, inflation, and growth, investors are increasingly seeking flexible solutions to capture yield and manage risk. This session explores two complementary approaches: Euro Credit Total Return strategy, targeting opportunities across the Euro credit spectrum, and Global Absolute Return Bond strategy, leveraging a global unconstrained fixed income landscape, to navigate diverse market conditions. Discover how these solutions aim to deliver strong risk-adjusted returns across cycles whilst exploiting volatility through active management, diversification, and risk-controlled processes.

The key to today’s Fixed Income opportunities

Seezimmer 4

Mittwoch, 25.02.2026

von

13:00

bis

13:40

English

bottom of page