Profil
Mr. Jean-Philippe Donge is a Head of Fixed Income at BLI - Banque de Luxembourg Investments SA. In 2001, after an initial series of experiences at financial institutions including BNY Mellon and Brown Brothers Harriman, he joined BLI – Banque de Luxembourg Investments as a corporate bond financial analyst.
He is currently in charge of bond market management and research.
Emerging markets account for a significant proportion of the management methodology.
His many years of experience, from sovereign debt to impact investing, have given him in-depth knowledge of the different categories of assets associated with these markets.
This expertise is backed by a dedicated research team and the generation of convictions to feed into the construction of bond portfolios.
In addition to microfinance and impact investing in general, the section and the methodology established by him are also designed to provide an optimum response to sustainable development objectives.
He has an engineering degree from the Université Catholique de Louvain.
Postes actifs de Jean-Philippe Donge
| Sociétés | Poste | Début |
|---|---|---|
BLI - Banque de Luxembourg Investments SA
BLI - Banque de Luxembourg Investments SA Investment ManagersFinance BLI is an active investor which aims to make informed, relevant and responsible investment decisions that will generate sustainable returns over the long-term. The firm offers fund management in three key areas: equities, bonds and multi-asset strategies. They construct their portfolios by selecting stocks irrespective of the structure of the benchmark index and apply a conviction-based management approach. | Head-Fixed Income Invts | 01/01/2019 |
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| Entreprise privées | 1 |
|---|---|
BLI - Banque de Luxembourg Investments SA
BLI - Banque de Luxembourg Investments SA Investment ManagersFinance BLI is an active investor which aims to make informed, relevant and responsible investment decisions that will generate sustainable returns over the long-term. The firm offers fund management in three key areas: equities, bonds and multi-asset strategies. They construct their portfolios by selecting stocks irrespective of the structure of the benchmark index and apply a conviction-based management approach. | Finance |
















