Vincent undertakes several responsibilities as part of the Portfolio Management team, including his contribution to the management of specialized and overlay mandates. He is also a member of 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
- Active Duration Investment Committee
Career:
- Addenda Capital: Senior Portfolio Manager, Fixed Income and Head, Quantitative Research (since 2018); Portfolio Manager, Fixed Income and 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