Nicolas G. is a finance professional with extensive experience in performance analysis, particularly within the asset management sector. Currently serving as a Fixed Income Performance Analyst in the Convertibles Bonds & Absolute Return department at La Banque Postale Asset Management since September 2017, Nicolas has developed a strong expertise in performance attribution. Prior to this role, Nicolas held performance analyst positions at Carmignac from August 2010 to May 2017, where responsibilities included performance attribution decomposition for equities, fixed income, and long/short books, and at AXA Investment Managers and Amundi from 2008 to 2010. Nicolas G. holds a Master's degree in Financial Mathematics from Université Henri Poincaré, Nancy 1.
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