Alternative Investment Fund Manager at Groupama Asset Management

Team coordinator and Portfolio Manager for the Supply Chain Fund AIF. Multi-Asset Portfolio Manager. 

More than 10 years’ experience in financial markets within the asset management and risk management fields; strong quantitative analysis background and technical expertise in financial and statistical models; Ph.D. in Mathematical and Statistical Methods for Economic and Social Sciences; Expert in asset management, asset allocation, risk and performance measurement, alternative investments, structured products, credit and corporate finance analysis.


Adjunct professor at LUISS Guido Carli University in Rome. In charge for a course in “Advanced Corporate Finance” (co-taught with Prof. Markus Kerber) within the Economics and Finance Department. Lecturer at LUISS since 2012, he has been formerly in charge for the courses “Equity Markets and Alternative Investments 2012-2015” and “Asset Management 2016/17”.


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