About
Charudatta Shende
Head of Client Portfolio Management Fixed Income and Fixed Income Strategist
Charu Shende has been Head of Client Portfolio Management - Fixed Income Markets since 2016 and Fixed Income Strategist since 2025, responsible for strengthening our Fixed Income franchise strategy, client engagement, and product development. He joined Candriam in September 2016 as a Senior Client Portfolio Manager within the fixed income team.
Charu joined Candriam from Carmignac Gestion, where was the product specialist for the fixed income strategies. He began his career as a product research analyst at Pioneer Investments in Dublin.
Charu holds a double degree in Economics and Finance from the American Business School of Paris
Discover the latest articles by Charudatta Shende
Research Paper, Fixed Income, Credit, Tame risk, Charudatta Shende, Marie Thomin
Credit markets have evolved. What was once considered a single asset class has become a broad, fragmented and multi-layered ecosystem spanning bonds, derivatives, private markets, currencies and capital structures—from senior secured debt to subordinated and hybrid instruments.
Research Paper, Credit, Tame risk, Fixed Income, Marie Thomin, Charudatta Shende
Investing in Late-Cycle Credit
Late-cycle credit markets rarely announce themselves clearly. Spreads remain tight, income is still available, and risky assets may continue to perform. Yet beneath this apparent stability, the balance is shifting: compensation is thinner, risks are more idiosyncratic, and the margin for error is narrowing.
Research Paper, Fixed Income, Credit, Tame risk, Charudatta Shende
Navigating the Credit Cycle
If you ask a fixed income investor to describe the credit cycle, most will readily cite its four familiar phases: Repair, Recovery, Expansion and Downturn. Knowing the terminology is straightforward. The more relevant question is: why does it matter for portfolio outcomes?
Tame risk, Fixed Income, Credit, Charudatta Shende
Embracing risk in credit: the Candriam approach
Explore Candriam’s disciplined approach to credit investing. Learn how issuer research, ESG integration and risk visibility help navigate volatility and construct resilient fixed income portfolios.
Charudatta Shende, Fixed Income
Credit’s Last Lap: Solid Foundations, Subtle Fault Lines
As it has over the past 2 years, credit remains an asset class of choice for global fixed income investors. The combination of enduringly sound fundamentals, powerful technical forces, and generous yields has rendered credit a rare anchor of stability in a world still wrestling with volatility and policy uncertainty.