Fabien Benchetrit is senior portfolio manager in “Multi Asset flexible & absolute return” team at MAQS, a Partner of BNP Paribas Asset Management. Fabien is in charge of diversified multi-asset fund and absolute return strategies. He is also involved in derivatives products training and promotes team’s expertise through publications. He joined BNP Paribas Asset Management in 2008, as an alternative portfolio manager. In 2000, he started his career as “Portfolio controller” on equity derivatives for Societe Generale CIB then he became “Risk Manager” responsible of a team dedicated to the monitoring of risk indicators (Var, Stress tests) of main equity dealing desks. In 2004, he became trader on exotic products for SGCIB in charge of the market making and hedging. Fabien gained finance diplomas from the University of Paris DAUPHINE. He has 18 years of professional experience in finance.
Investments in the aforementioned fund are subject to market fluctuation and risks inherent in investing in securities. The value of investments and the revenue they generate can increase or decrease and it is possible that investors will not recover their initial investment. Source: BNP Paribas Asset Management.
UCITS OFFER NO GUARANTEED RETURNS AND PAST PERFORMANCES DO NOT GUARANTEE FUTURE ONES