투자자의 인사이트: 채권 시장을 심층 분석하다
Bloomberg와 Aon이 공동 주최하는 이번 웨비나에서는 업계 전문가들과 함께 불확실한 시장 환경 속에서 채권의 역할을 심층 분석하고, 2025년 이후의 거시경제 트렌드에 대한 인사이트를 제공합니다.
주요 토픽:
- 현재의 채권 시장 환경과 거시경제적 동향
- 기관 투자자를 위한 포트폴리오 구성 전략
- 2025년 이후의 전문가 시장 전망
본 웨비나는 영어로 진행되며, AI 한글 자막이 함께 제공됩니다.
Speakers

Nick Gendron
글로벌 채권 상품 총괄
블룸버그
Based in New York, Nick manages the global fixed income index product team at Bloomberg. The main responsibilities of his team include: new product development and research, ETF pipeline and senior relationship management, consulting with clients on development of custom index products, marketing/support of the entire suite of fixed income indices, implementation of robust governance structure and process. Nick has been with the index business since 1992 at Lehman Brothers and subsequently at Barclays since 2008. In his years at Lehman Brothers he managed the U.S. index team from 1998 – 2005 and managed the global index business from 2005 – 2008. He also worked extensively marketing the portfolio management tools PC Product and POINT. Nick began his professional career at JP Morgan working from 1987-1992 in their systems development department. He holds an M.B.A. in finance from New York University and a B.A. in computer science and mathematics from Boston College.

Elijah Reese
글로벌 채권 운용사 리서치 공동 책임자
AON
Co-head of Global Fixed Income Manager Research at AON: Elijah Reese is the Co-Head of Global Fixed Income Manager Research, where he leads a team dedicated to conducting due diligence on fixed income managers. He is also responsible for overseeing and managing Aon's U.S. Delegated Fixed Income Funds. As a partner, Eli works closely with consultants and clients to provide guidance on the structure and selection of fixed income strategies for their portfolios.

Noel Hebert
글로벌 FICC 전략 리서치 총괄 및 미국 크레딧 전략가
블룸버그
Noel Hebert, CFA, is the Global Head of FICC Strategy and Chief US Corporate Credit Strategist for Bloomberg Intelligence, a unique research platform that provides context on markets, industries, companies, and government policy, available on the Bloomberg Professional Service at BI . Noel provides top-down perspective on the US credit market, sectors and industries with a multi-disciplined approach that utilizes fundamental, quantitative and technical analysis. Prior to joining Bloomberg, he was CIO of Concannon Wealth Management, and served in analyst positions for buy side and sell side firms after beginning his credit career at Moody’s Investors Service.

Vikas Jain
채권 지수 퀀트 리서치 전문가
블룸버그
Vikas is a senior quantitative researcher for Bloomberg Index and portfolio research team. His research focuses on quantitative strategies and portfolio allocation in Fixed Income. Prior to joining Bloomberg in 2023, he was leading the Fixed income structuring team at Deutsche Bank's QIS desk. Vikas holds a masters and bachelor's degree in computer science from Indian Institute of Technology(IIT) Delhi.