Frédéric Fontaine CFA, FRM
Director, Quantitative Research and Assistant Portfolio Manager, Fixed Income
Profile
Frédéric is involved in developing quantitative models, conducting risk analysis and formulating investment strategies. He plays a direct role in optimizing portfolios by applying rigorous approaches to financial modelling, statistical analysis and risk management.
Since joining Addenda several years ago, Frédéric has held various positions of increasing responsibility before moving into management roles. Earlier in his career, he served as a lecturer at the University of Sherbrooke, teaching advanced courses on market, credit and counterparty risk management, and derivative products.
Frédéric holds a Master’sdegree in Finance from the Université de Sherbrooke, with a specialization in longevityrisk modeling and hedging, as well as a Bachelor’sdegree in Finance from the same institution. He isboth a Chartered Financial Analyst (CFA) and a Financial Risk Manager (FRM).