Amélie Chowna

Fixed Income Investment Specialist

Amélie Chowna
Amélie is a Fixed Income Investment Specialist within the Global Fixed Income Team, covering Global Credit and Absolute Return Portfolios. Prior to this, she was a Portfolio Manager for the Global Bond Strategies team, which she joined in 2014 as a Quantitative Analyst. She joined LGIM in 2011 from AXA IM and held a variety of roles within LGIM before joining the Global Fixed Income team. Amelie graduated from ESSEC Business School and holds an MBA. She has been a CFA charterholder since 2015.

Other articles by Amélie Chowna

Widening spreads and Italian debt: will the ECB act?
Fixed income

Widening spreads and Italian debt: will the ECB act?

The inflationary impact of the war in Ukraine has added to pressures on managing Italian debt. He...
By Simon BellAmélie Chowna
27 May 2022
5 min read
Emerging market debt: down but not out
Fixed income

Emerging market debt: down but not out

We believe short-duration emerging market debt could present an opportunity amid an otherwise...
By Amélie ChownaSanchay Singla
18 May 2022
6 min read
In a tight space
Investment strategy

In a tight space

Have credit spreads reached a cul-de-sac, or is there still room for manoeuvre?
By Matthew ReesAmélie Chowna
07 Sep 2021
4 min read
Credit spreads: the big squeeze
Fixed income

Credit spreads: the big squeeze

We question whether credit spreads reflect current levels of corporate leverage.
By Amélie ChownaEnda Mulry
18 Mar 2021
3 min read
Is consolidation in the European bank sector inevitable?
Fixed income

Is consolidation in the European bank sector inevitable?

The performance of many banks in Europe suggests they are destroying economic value. There may...
By Amélie ChownaDan Lustig
13 Oct 2020
3 min read
Corona curves: what next for short-dated credit?
Amélie Chowna
Fixed income

Corona curves: what next for short-dated credit?

The COVID-19 virus and its impact on global financial markets have been nothing short of...
By Amélie Chowna
15 Apr 2020
4 min read

Authors from the same team (38)

Carl Sells

Carl Sells

Carl is responsible for portfolio management of active fixed income funds in Global High Yield....
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Jonathan Constable

Jonathan Constable

Jonathan joined LGIM as a senior credit analyst in October 2013 with lead responsibility for the...
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Marc Rovers

Marc Rovers

Marc is head of the euro credit portfolio management team. He joined LGIM in May 2012 as a...
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