Geneva Area, Switzerland
Trading Portfolio manager
Investment Management
Education
Université Paris Dauphine 2001 — 2002
Master (DEA), Quantitative Finance
Université Paris Dauphine 2001 — 2002
DEA, Finance
Université Pierre et Marie Curie (Paris VI) 1998 — 2002
BSc, Maths
ENSIIE - École Nationale Supérieure d'Informatique pour l'Industrie et l'Entreprise 1998 — 2001
Master, Computer Science, Maths, Finance
Lycée Louis Le Grand 1995 — 1998
Maths Sup/Maths Spe, Maths and Physics
Experience
Koch Supply and trading December 2009 - January 2015
Nexgen Fund May 2008 - June 2009
HSBC June 2006 - April 2008
Abn Amro September 2004 - May 2006
Murex May 2003 - August 2004
bnp paribas April 2002 - October 2002
Skills
Macro, Derivatives, Asset Management, C++, Trading, Trading Systems, FX Options, Risk Management, Quantitative Finance, Electronic Trading, Bloomberg, Equities, Python, Volatility, Commodity, Managed futures, Proprietary Trading, Structured Products, Rates, FX, Hedging, Quantitative Investing, C#, Quantitative Analytics, Time Series Analysis, Equity Derivatives, Applied Mathematics, Financial Markets, Options, Commodities, Matlab, Digital Asset Management, Wealth Management, Hedge Funds, Interest Rate..., Quant, Wealth Management..., Portfolio Management, Investments, Trading Strategies, Fixed Income, Market Risk