Yann Furic

Senior Portfolio Manager Asset Allocation and Alternative Strategies @fdp Gestion privée

Laval, QC, CA
MOBILE NUMBERS
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WORK HISTORY

Feb 2020 — Present

Senior Portfolio Manager Asset Allocation and Alternative Strategies @fdp Gestion privée

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CA

EDUCATION

2000 — 2002

HEC Montréal

Master of Science (MSc), Finance, General

1997 — 1999

HEC Montréal

Bachelor of Business Administration (B.B.A.), Finance

SKILLS

Asset ManagmentEquity ResearchHedge FundsEquity ValuationFinancial ModelingEquitiesValuationPortfolio ManagementInvestmentsCapital MarketsInvestment StrategiesAlternative InvestmentsBloombergStructured ProductsAsset ManagementStructured FinanceDerivatives

ABOUT YANN FURIC

Portfolio Manager in charge of Global Asset allocation and Alternative strategies. Optimizing asset allocation with the use of ETFs.Previously worked as a Portfolio Manager Absolute Return - Equity Market for one of the largest Pension Fund in Canada.• 15 years of experience working at one of the largest canadian pension fund.• More than 10 years of experience working in a global Absolute Return – Equity Market environment.• Initiate new approach into structured financing.

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