Senior Portfolio Manager
Michael joined LFIS in September 2015 as a Senior Portfolio Manager focused on credit strategies. Michael is a credit derivatives expert with particular competence in trading, technology and mathematics and cross-asset expertise. He previously served as a senior correlation trader at Société Générale, from 2005 to 2011, where he was responsible for the correlation book. Michael then headed the US credit equity proprietary trading desk at BNP Paribas from 2011 to 2014, setting up statistical credit-equity arbitrage strategies based on quantitative signal detection and fundamental analysis. Michael graduated from Telecom Sud Paris and holds a Master’s degree in Probability and Finance from Paris VI University.