

Patrick Zeenni, CFA has been Head of Investment Grade & Credit Arbitrage Management and Deputy Global Head of Credit since 2019. Prior to that, he was Deputy Head of High Yield & Credit Arbitrage management since 2011.
Before joining Candriam in 2009, Patrick began his career in 1995 in Bond Origination at Société Générale, moving a year later to Bayerische Landesbank as Head of Bonds and Derivatives. In 2003, he became a Senior Credit Fund manager at Candriam.
Patrick holds Master’s degrees in Finance and in Financial Markets from Paris Dauphine University. He has been a CFA charterholder since 2010.
Discover the latest articles by Patrick Zeeni, CFA

Patrick Zeenni, Renta fija, ESG, Credit
Después del año 2022, que marcó el final de una década de flexibilización de la política monetaria, el 2023 ha sido testigo de la recalibración de los tipos de interés. El fin del mantra de los Bancos Centrales de "más altos durante más tiempo", respaldó un aumento los tipos de interés, que ahora vuelven a estar en territorio positivo por primera vez en casi diez años.

Patrick Zeenni, ESG, Renta fija
Rendimientos al final del túnel. ¡Luz verde para una estrategia sostenible de grado de inversión en euros !
Los inversores en renta fija lo pasaron mal en 2022. Pero una nueva era comenzó cuando los bancos centrales iniciaron su marcha forzada de subidas de tipos de interés, brindando nuevas oportunidades a los inversores.

David Czupryna, Highlighted, Nicolas Forest, Outlook 2020, Patrick Zeenni
Our experts take the floor
Happy New Year! Now, what are our experts’ wishes for 2020?

David Czupryna, Nicolas Forest, Stefan Keller, Patrick Zeenni, Video
Our experts take the floor
Happy New Year! Now, what are our experts’ wishes for 2020?

Q&A, Philippe Noyard, Patrick Zeenni
Long Short Credit : a credible alternative in the face of heightened volatility
Philippe Noyard, Global Head of Credit, Patrick Zeenni, CFA,
Head of Investment Grade & Credit Arbitrage and Guillaume
Benoit, Senior Investment Grade Fund Manager / Credit Analyst
explain how a Global Long Short Credit strategy is a must-have
in a diversif ed portfolio.