Vincent Benoliel, CFA, FRM
Senior Portfolio Manager, Fixed Income and Head, Quantitative Research

Vincent undertakes several responsibilities as part of the Portfolio Management team, including his contribution to the management of specialized and overlay mandates. He also supports the Investment Solutions team and develops risk management tools to control investment risk levels.

Member of:

  • Investment Committee
  • Investment Risk Committee
  • Core Plus Investment Strategy Committee
  • Operating Committee
Career:
  • Addenda Capital: Senior Portfolio Manager, Fixed Income & Head, Quantitative Research (since 2018); Portfolio Manager, Fixed Income & Head, Quantitative Research (2016-2018); Portfolio Manager, Fixed Income and Manager, Quantitative Research (2014-2016); Assistant Portfolio Manager, Fixed Income (2011-2014); Quantitative Analyst (2008-2011)
Education:
  • Master’s degree in Financial Mathematics from Université du Québec à Montréal 
  • Bachelor’s degree in Statistics from Université du Québec à Montréal 
  • Chartered Financial Analyst (CFA®) designation
  • Financial Risk Manager (FRM) designation