Selecteer een pagina

Arnaud Brillois

Managing Director, Fund Manager/Analyst, Head of Convertibles Lazard Asset Management LLC (New York)
Lazard Fund Managers

Presentation: How to benefit from the current environment with convertible bonds?

The current market distortions make a convertible recovery strategy attractive for investors, who can benefit from convertible bonds that are undervalued. Lazard Global Convertibles Recovery Fund is actively managed using an investment strategy designed primarily to identify convertible bonds that are likely to experience recovery in their valuations. It will specifically seek investment opportunities presented by sectors or regions that have been underperforming or that are undervalued from either a credit or equity standpoint.


Arnaud Brillois, CFA is Managing Director and Fund Manager/Analyst on the Global Convertibles team. He began working in the investment industry in 2000. Arnaud joined Lazard Freres Gestion (LFG) in 2008 and was the Head of Convertible Bonds and Co-head of Alternative and Structured Products before relocating to New York with Lazard Asset Management in 2017. Prior to joining Lazard, he was the Director of Alpha Bonds and Convertible Bonds Management at Natixis Asset Management. Arnaud is a graduate of ISCID (Institut Superieur de Commerce International de Dunkerque). He is a CFA® charterholder and has successfully passed the SFAF (Societe Francaise des Analystes Financiers) and FRM exams.

Lazard Fund Managers:

With origins tracing to 1848, Lazard has long served as a trusted advisor to governments, businesses and individuals. Lazard operates from 24 offices across 17 countries. Through our deep-rooted network, local insights are leveraged globally to the benefit of our clients worldwide.
Lazard Fund Managers offers a single point of access to the investment expertise of Lazard Asset Management and Lazard Frères Gestion, two firms within the Lazard family with distinct capabilities but shared beliefs:
Consistently Active | We are committed to active management.
Research-Driven | We believe fundamental analysis is the key to generating performance regardless of asset class.
Market Responsive | We evolve our investment offerings to address real-world investment challenges.

Cookie Instellingen