Portfolio Manager & Research
Matthias has 10 years of industry experience as global macro strategist and portfolio manager. Matthias began his career in alternative asset management at Lyxor Asset Management, in the area of global macro research. He joined the Asset Management arm of Banque Pâris Bertrand in 2011 where he focuses on research and management of systematic investment strategies. Matthias holds a master’s degree in quantitative finance from Toulouse Business School.