Daniel Marty is in charge of the development of fundamental methodologies, including sovereign, banks asset management and non-financial corporates.
Prior to assuming that position, Daniel was a lead analyst in charge of a portfolio of regional and local governments as well as government-related issuers in France and Belgium.
Daniel is a regular author of high-level topical pieces on developments affecting the French or Belgian sub-sovereign sectors. He was also the co-author of several special comments on accounting standards in the EU and more specifically on debt treatment.
Daniel also worked in Moody’s sovereign team covering a range of European countries that. Daniel holds a Master in Management from ESCP Europe in Paris and speaks French, English and Spanish.