Robert Brauns

Portfolio manager, Global Multi-Sector Fixed Income, BNP Paribas Asset Management

Robert is a portfolio manager for Global Multi-Sector teams at BNP Paribas Asset Management, including both absolute return multi-sector and total return multi-sector portfolios. He is responsible for portfolio construction, positioning and implementation of alpha trades related to these strategies. In addition, Robert is also a member of the Global Rates and Investment Strategy teams with responsibility for generating alpha ideas for duration, yield curve and country spread positions across Japan, Australia, New Zealand and the eurozone. Robert joined the company in 2010. He moved from London to New York in 2014.

Prior to his current role, Robert was an investment associate, he completed three international rotations through global fixed income, equities and alternative investments.

Robert has 11 years of investment experience. He holds an MA in Economics from the University of Potsdam, MA in Economics from the University of Wisconsin-Milwaukee, and a BA in Banking and Finance from the Berlin School of Economics. Robert is a CFA Charterholder.