Seizing the euro fixed income opportunity with flexibility and diversification
By Johann Plé, Senior Portfolio Manager, Fixed Income and Rui Li, Portfolio Manager, Fixed Income Europe’s fixed income landscape has…
16/09/26
Portfolio Manager, AXA Investment Managers
BioIn 2020, Rui joined the Total Return & Fixed Income Allocation Team as a Portfolio Manager. She manages aggregate funds and mandates.
From 2013 to 2020, she worked as a Financial Engineer in the Quant Lab. Rui was responsible for building and proposing customised multi-asset allocation solutions addressing clients’ needs, backed by strong financial research.
Rui joined AXA IM in 2013 as a Quantitative Analyst before moving to Financial Engineering.
She holds a Master’s degree in Probability and Finance from the University of Paris VI and Ecole Polytechnique. She is a CFA charterholder and a member of the CFA Society France.
Portfolio perspectives
By Johann Plé, Senior Portfolio Manager, Fixed Income and Rui Li, Portfolio Manager, Fixed Income Europe’s fixed income landscape has…

By Johann Plé & other authors
16/09/26
Portfolio perspectives
Both interest rates and credit spreads influence bond performance. Both are typically negatively correlated, providing attractive diversification potential for fixed…

By Johann Plé & other authors
23/09/25