

Stefan Keller has been a Senior Multi-Asset Strategist at Candriam in Luxemburg since 2015.
Prior to joining Candriam, he was Managing Director at Scope Ratings in Berlin. His other positions include six years as Strategist, Portfolio Manager, and Head of Managed Account Platform Research at Lyxor Asset Management in Paris, Senior Economist at Exane responsible for the Global Asset Allocation publication, Economist/Strategist at CA Cheuvreux, and a bond market Analyst for BNP Paribas.
Stefan holds a degree from Institut d'Etudes Politiques de Paris (1993) and a PhD in Economics (1998) from the University of Paris I Panthéon-Sorbonne. He is co-author of the Guide des Indicateurs de Marché, published in 2008. He is also a CFA Charterholder.
Discover the latest articles by Stefan Keller, PhD, CFA

Florence Pisani, Stefan Keller, Outlook 2025
Entre 2005 y 2017, mientras la mayoría de las economías de la zona del euro vieron caer el peso de su industria y sus cuotas de mercado de exportación, Alemania destacó por su poderosa industria, sus sólidas cuotas de mercado y su seriedad presupuestaria. Durante este período, el PIB alemán creció un 10% más rápido que el resto de la región. Así, Alemania y su modelo social de cogestión (Mitbestimmung) se han citado desde hace tiempo como ejemplo.

Asset Allocation, Nadège Dufossé, Florence Pisani, Stefan Keller, Thibaud Marie-Regnault
Russia-Ukraine conflict: geopolitical minefield for markets
Following weeks of rising tensions between Russia and Ukraine, Russia’s President Vladimir Putin has recognised the independence of two Moscow-backed regions in the Donbas region in eastern Ukraine.