David Belloc, CFA, is a seasoned financial professional with extensive experience in portfolio management and investment strategy. Currently serving as a Cross Asset Portfolio Manager/Strategist at Mirova since August 2018, David is responsible for cross asset strategies, financial engineering, and co-managing equity carbon strategies, including the launch of initiatives like the Mirova Europe Sustainable Economy Fund and the Mirova Global Carbon Neutral Fund. Previously, David held roles at Seeyond as a Smart Beta Portfolio Manager, where the Seeyond Equity Factor Investing strategy was developed, and at Natixis Asset Management as a Quantitative Equity Portfolio Manager, focusing on dedicated mandates for institutional clients. Early career experience includes managing European convertible bonds at BFT Investment Managers and working as a Quantitative Analyst at Amundi, specializing in structured products and liability-driven investments. David is a CFA Charterholder and a graduate of the Institut de Science Financière et d'Assurances, as well as a member of the French Institute of Actuary.
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