Frédéric supports the Portfolio Management team in monitoring and managing risk and participates in developing customized investment strategies for actual and prospective clients. In addition to being a member of the Quantitative Research team, Frédéric contributes to developing and implementing active duration and absolute return strategies.
Career:
- Addenda Capital: Director, Quantitative Research and Assistant Portfolio Manager, Fixed Income (since 2024); Director, Quantitative Research (2022-2024); Senior Analyst, Quantitative Research (2020-2022); Analyst, Quantitative Research (2019-2020); Junior Analyst, Quantitative Research (2017-2019); internship (2016)
Education:
- Master’s degree in Finance from Université de Sherbrooke
- Bachelor’s degree in Business Administration with a major in Finance from Université de Sherbrooke
- Chartered Financial Analyst (CFA) designation
- Financial Risk Manager (FRM) designation