Mes compétences :
Asset management
Gestion de portefeuille
Entreprises
HSBC Global Asset Management
- Portfolio Manager - Fund analyst
Paris2005 - maintenantIn Europe Multimanager team (London and Paris) :
*Portfolio Manager of :
-Global balanced portfolios mixture of directional (long only traditional) and non directional (UCITS absolute return strategies, manager alpha extraction using derivatives) strategies
-Fixed income global manager of managers
*Europe Lead analyst for:
-Absolute return UCITS III strategies (Long/Short equity, Fixed Income, GTAA, Currency, Volatility)
-Euro fixed income : Government, Investment Grade, High Yield
*Analyst of global fixed income strategies : Global Aggregate, Global Government, Global Credit, Global High Yield
AXA Investment Managers
- Portfolio Manager - Fund Analyst
Nanterre 2001 - 2005Multimanager investment team :
*Funds of funds management of equity, fixed income and diversified
portfolios
*Implementation of asset allocation and equity style rotation
*In charge of Euro and Global Fixed Income manager analysis
*Quantitative research on fund rebalancing and style rotation
IXIS Asset Management
- Gérant de portefeuilles fonds de futures et recherche quantitative
1997 - 2001Société de gestion d'actifs
Au sein du département CTA (gestion systématique de fonds de futures):
*Gestion de fonds de futures (performance absolue) sur les marchés de taux, actions, devises et matières premières
*Conception de modèles de gestion systématiques
*Recherche quantitative : mesures de risque, simulation d'actifs, attribution de performance, indicateurs de performance et de robustesse des modèles systématiques