Credit exposure should be smart and short in 2022
Pierre Beniguel joined TwentyFour Asset Management as a Portfolio Manager in April 2014.
Pierre manages TwentyFour’s Multi-Sector Bonds funds, with a particular focus on European corporate bonds. Pierre has more than 10 years’ experience in fixed income and previously worked in WestLB’s credit trading and special situations divisions. He holds a degree in Mathematics & Economics from University College London.