Michal Jezek is a seasoned finance professional with extensive experience in fixed income strategy and macroeconomic analysis. Currently serving as a Senior Fixed Income Strategist at BNP Paribas Asset Management since January 2022, Michal specializes in developed and emerging market rates and credit. Prior to this role, Michal worked at Deutsche Bank from July 2010 to December 2021, contributing as a Macro Strategist focused on global macro, credit, and rates, along with roles in quantitative credit strategy and thematic research. Academic qualifications include a PhD and MPhil in Economics from the University of Cambridge, as well as an MA in Economics with Finance & Banking and a BA in Economics from Charles University. Additional experience includes serving as an Affiliated Lecturer at the University of Cambridge and as an Economic Analyst at the Czech National Bank.
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