Johann Plé

Johann Plé

Senior Portfolio Manager, Fixed Income

Bio

Johann is a Senior Portfolio Manager in the Fixed Income Allocation and Total Return team and responsible for the Euro Aggregate and Impact expertise.

Johann has been managing Euro Aggregate strategies since 2010 including a green bond strategy. He is responsible for developing and managing other sustainable and impact strategies.

Johann joined AXA IM in January 2009 as Junior Portfolio Manager, managing Global rates and Global Aggregate portfolios. Previously, he worked at Crédit Agricole CIB as an assistant trader on the Interest Rates and Derivatives Arbitrage Proprietary desk.

Johann holds a Master’s degree in Financial Markets from Neoma Business School (ESC Rouen).

Location Paris

Articles from Johann Plé

Article

Unlocking green, social and sustainability bonds’ full potential

Why GSS bonds should not be overlooked The green bond market may have reached maturity, with established issuance patterns and…

Audio

The grass has become greener for green bonds

While their sustainability-related credentials have sustained the appeal of green bonds over the years, recent events in energy markets have…

Article

Why choose euro fixed income?

Euro fixed income has a wide range of performance drivers that can enhance portfolio diversification. Credit spreads are tight, but…

Article

What next for green bonds after a year of resilience?

The green bond market has entered a new phase of maturity. It proved resilient in 2025, with growth essentially driven…

Article

Green bond market: from niche instruments to core bonds

Over the last decade, the need for environmentally impactful projects has continued to grow. The green bonds market has changed…

Article

Why opportunities to diversify within fixed income matter more than ever

Both interest rates and credit spreads influence bond performance. Both are typically negatively correlated, providing attractive diversification potential for fixed…

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