Guillaume Postic

Senior Portfolio Manager at Norges Bank Investment Management

Guillaume Postic has a solid work experience in the finance sector. Guillaume worked at Norges Bank Investment Management from 2006 to present, where they held various roles including Senior Portfolio Manager and Head of Fixed Income Asia. Prior to that, they worked at BANQUE NEUFLIZE OBC from 2005 to 2006 as a Senior Portfolio Manager focusing on Fixed Income and FX Arbitrage. From 2001 to 2005, they worked at Société Générale as a Portfolio Manager specializing in Fixed Income and FX Arbitrage. Overall, Guillaume Postic has extensive experience in portfolio management, particularly in fixed income and foreign exchange markets.

Guillaume Postic has a diverse education history, starting with their studies at Nantes Université from 1994 to 1999. There, they obtained a Master of Science in Mechanical Engineering with a focus on Physics and Mathematics.

In 1999, Guillaume enrolled at Audencia, where they pursued a Master in Management degree with a specialization in Finance. Guillaume completed this program in 2001.

During their time at Audencia, in the year 2000, Guillaume also had the opportunity to study at The Ohio State University Fisher College of Business. Although they did not pursue a specific degree at Fisher College of Business, their studies primarily focused on Finance and Economics.

In terms of certifications, Guillaume Postic obtained a Chartered Financial Analyst (CFA) certification from the CFA Institute in September 2013. Additionally, they obtained a Certificate in Quantitative Finance (CQF), although the specific institution and dates for this certification are unknown.

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Timeline

  • Senior Portfolio Manager

    January, 2021 - present

  • Head Of Fixed Income Asia

    August, 2016

  • Portfolio Manager

    October, 2006