Martin Gagnon

Adjunct Professor of Finance @École Des Sciences De La Gestion Esg Uqam

Montreal, QC, CA
MOBILE NUMBERS
+91 *********19

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WORK HISTORY

May 2025 — Present

Adjunct Professor of Finance @École Des Sciences De La Gestion Esg Uqam

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EDUCATION

1987 — 1989

UQAM | Université du Québec à Montréal

B. Comm., Finance

1990 — 1991

The University of British Columbia

MBA, Finance

N/A

INSEAD

Certificate in Corporate Governance, International Directors Program

SKILLS

Rendement AbsoluExecutive ManagementInvestissementsGestion De PatrimoineHaute DirectionFinancial MarketsBankingMutual FundsRisk ManagementRevenus FixesFonds MutuelsPortfolioSecteur BancaireFinances StructuréesEquitiesWealth ManagementPartenariat StratégiqueFixed IncomeStructured FinanceAnalyse FinancièreGestion Du ChangementBoard GovernanceFinancial AnalysisGestion De PortefeuillesAbsolute ReturnFonds SpéculatifsStrategic PlanningStrategic PartnershipsMarchés FinanciersInvestmentsGouvernance ConseilActionsGestion Du RisqueHedge FundsChange ManagementPlanification Stratégique

ABOUT MARTIN GAGNON

As the former Executive Vice President of Wealth Management and Co-President and Co-CEO of National Bank Financial (NBF), I led one of Canada\'s largest and most diversified wealth management platforms, serving over clients and managing over $100 billion in assets. I also oversaw the operations and strategy of NBF, the bank\'s investment dealer arm, with more than employees and 900 advisors across the country.With over 25 years of experience in the field of banking, asset management, and brokerage firms, I have developed a broad international contact network and extensive business development skills, including five years on Wall Street. I have a strong track record of delivering results across asset classes, from absolute returns to equities, fixed income, and derivatives. As a Chartered Financial Analyst (CFA) and a former board member of several industry associations and organizations, I have demonstrated my leadership and management abilities, as well as my technical competencies in risk management, research, product development, structuring, and trading. My mission is to create value for clients, shareholders, and employees by providing innovative, customized, and high-quality financial solutions.

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