
Nicolas Coulon holds a Master I in Applied Economics and a Master II in Asset Management (222) from Paris Dauphine University.
Nicolas Coulon began his career at Covéa Finance in 2011 on the trading desk before moving into portfolio management in 2013. In 2016, he joined the Dubly Transatlantique Gestion group, where he worked as a portfolio manager and multi-manager. In 2020, he joined OFI AM as a fixed income portfolio manager specializing in credit and rates.
In February 2026, he joined DNCA Finance’s Flexible Management team as a fixed income portfolio manager.