Amine Maad is a Portfolio Manager at GIC, specializing in volatility strategies and portfolio construction. They have held significant roles in the finance sector, including as an Equity Derivatives Trader at BNP Paribas from 2007 to 2013 and as a Quantitative Risk Manager at Standard Chartered Bank from 2013 to 2016. Additionally, Amine served as a Senior Risk Manager for Quantitative Strategies at GIC. They hold an MSc in Financial Engineering from Imperial College London and an Ingénieur civil des mines degree in Mathematics and Financial Engineering from Ecole nationale supérieure des Mines de Saint-Etienne.
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