Matthew is a portfolio manager for the Multi Asset Solutions team at BNP Paribas Asset Management. In this role, he is involved in research and alpha idea generation for a broad range of multi-asset portfolios and is responsible for derivatives overlays and hedging for our flagship products. He joined our company in June 2015 and is based in London.
Prior to joining us, Matt worked at Schroders Investment Management as a Multi-Asset analyst and co-fund manager. From 2009 to 2011, he worked as an assistant fund manager & analyst at Occam Asset Management, where he was covering European equities. Matt began his career at Polar Capital, where he worked as an analyst on UK and global equity long/short strategies.
Matt has 12 years of investment experience. He holds a bachelor’s degree in Financial Economics from Birbeck College, University of London and a master’s degree in Applicable Mathematics from the London School of Economics & Political Science in London. He is a CFA Charterholder.