Soliane VARLET has a diverse work experience spanning over two decades. Soliane began their career as an Insurance Broker at Johnson & Higgins in 1997. Soliane then worked as a Market Risk Controller at Dresdner Kleinwort from 1998 to 2000. Subsequently, they served as a Sell-Side Equity Analyst at CM-CIC Securities from 2000 to 2004. Soliane joined Natixis Asset Management in 2005 as a Buy-Side Equity Analyst. Their most recent role was at Mirova, where they worked since 2008. At Mirova, they held various positions including Equity Fund Manager, Socially Responsible Investment (SRI) and SRI Equity Fund Manager. Soliane managed funds with high ratings and focused on sustainable economic development and gender diversity. Their tenure at Mirova ended in 2022.
Soliane VARLET has a diverse education history. In 1982, they began their studies at the Conservatoire Regional de Reims, where they focused on classical music. Soliane earned a "médaille d'argent de formation musicale et étude du piano niveau 'Fin d'Etudes'" during their time there, which indicates a high level of achievement in their classical music studies. Following this, in 1994, they attended NEOMA Business School, where they pursued a degree in an unspecified field of study. In 1999, they enrolled at Université Jean Moulin (Lyon III) and completed a Master's degree in Banques et Finances. Finally, in 2002, they briefly attended SFAF but did not pursue a degree or specific field of study at that time.
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