Amundi
Khairul Bashar Khadem possesses extensive experience in investment and market risk management, currently serving as an Investment Risk Manager at Amundi since January 2022, focusing on index, mandate, and hedge funds. Prior roles include Market Risk Manager at Lyxor Asset Management, where responsibilities encompassed direct replicated ETFs and index funds, and a Trading Analyst position at Societe Generale Corporate and Investment Banking. Earlier experience includes positions as an OTC Derivatives Analyst at Natixis, an Associate at the Embassy of Bangladesh in France, and a Graduate Management Trainee at Southeast Bank Limited. Khairul holds a Master's Degree in Financial Engineering and a Master's in Mathematical Model in Economics and Finance from the University of Paris I: Panthéon-Sorbonne, as well as a Bachelor of Business Administration from Independent University, Bangladesh.
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