Corinne Lewis-Reynier

Head of Active Fixed Income Investment Specialists

Corinne Lewis-Reynier

Despite hailing from the south of France, Corinne has always been more interested in the intricacies of global finance than sunshine and the beach. This meant she built a career in the City of London career where, despite growing to enjoy tea, the British weather, fish and chips, and Jaguar E-Types, she has retained a preference for Gallic cheeses and ciders.

She joined LGIM in 2018 and previously worked at BlackRock, where she was Head of European product specialists for short duration strategies. She has also worked at Morgan Stanley Investment Management as a senior portfolio manager, and started her career at JP Morgan Asset Management, where she was a portfolio manager and government bonds trader. Corinne earned an MA in Financial Risk Management from the University of Aix-en-Provence and a Master’s degree in International Economics from the University of Sussex. Corinne holds an MBA from London Business School.

Other articles by Corinne Lewis-Reynier

Exploring the role of duration management in credit portfolios
Corinne Lewis-Reynier
Investment strategy

Exploring the role of duration management in credit portfolios

The volatility induced by the COVID-19 pandemic has thrown up potential opportunities for active...
By Corinne Lewis-Reynier
23 Feb 2024
4 min read
Russia, Nord Stream 1 and the bond market
Corinne Lewis-Reynier
Markets and economics

Russia, Nord Stream 1 and the bond market

What would it mean for European credit if Russia turns off the taps?
By Corinne Lewis-Reynier
29 Jul 2022
4 min read
Italian debt: could risk premiums be returning to peripheral bonds?
Markets and economics

Italian debt: could risk premiums be returning to peripheral bonds?

During a testing period for non-core European credit, we explore if now heralds the return of...
By Corinne Lewis-ReynierMarc RoversSimon Bell
23 Jun 2022
4 min read
Is income returning to fixed income?
Fixed income

Is income returning to fixed income?

2022 to date has been the worst ever total return period for credit investors as yields have rise...
By Mark BensteadCorinne Lewis-Reynier
13 Jun 2022
3 min read
The case for Euro credit in three charts
Fixed income

The case for Euro credit in three charts

2022 has been a turbulent year for credit markets. Have spreads now widened to the point where...
By Corinne Lewis-ReynierMarc Rovers
30 May 2022
4 min read
What’s in a name? There’s more than the pound in sterling credit
Fixed income

What’s in a name? There’s more than the pound in sterling credit

A rose by any other name may smell as sweet, but in the investment-grade world, UK credit and GBP...
By Corinne Lewis-ReynierIan Hutchinson
21 Oct 2021
4 min read
Credit update: NIP and tuck
Corinne Lewis-Reynier
Fixed income

Credit update: NIP and tuck

A closer look at new issue premiums during recent credit market volatility.
By Corinne Lewis-Reynier
09 Jul 2020
2 min read
A fundamental shift: avoiding EMD FOMO
Corinne Lewis-Reynier
Investment strategy

A fundamental shift: avoiding EMD FOMO

In two decades, emerging markets have gone from the pariahs to the pageant queens of global...
By Corinne Lewis-Reynier
17 Sep 2019
3 min read

Authors from the same team (40)

Colin Reedie

Colin Reedie

Colin has responsibility for our Active Strategies team as well as overall portfolio management...
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Simon Bell

Simon Bell

Simon is a fund manager within the Active Fixed Income team, where he manages global rates...
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