Statistical Arbitrage Applied to Foreign Exchange @ BNP Paribas
Ghassen Menchaoui's Education
Ecole centrale de Paris
Double Major in Applied Mathematics and Management ( Mathematical Finance, Master)
2008 - 2011
Université Paris Dauphine
Mathematics for Insurance ( Economics and Finance (MASEF), Financial Mathematics, Master of research)
2011 - 2012
National University of Singapore
2010 - 2010
IPEST
CPGE ( Mathematics, Physics High Level)
2006 - 2008
Ghassen Menchaoui's Skills
Bond Markets
ETFs
Quantitative Finance
Applied Mathematics
Index Funds
Sovereign Debt
Equities
Portfolio Management
Asset Management
Fixed Income
Ghassen Menchaoui's Summary
Ghassen Menchaoui, based in France, is currently a Portfolio Manager at Societe Generale Corporate and Investment Banking - Sgcib, bringing experience from previous roles at Societe Generale Corporate and Investment Banking - Sgcib, Candriam, Arbitragis Trading and BNP Paribas. Ghassen Menchaoui holds a 2008 - 2011 Double Major in Applied Mathematics and Management in Mathematical Finance, Master @ Ecole centrale de Paris. With a robust skill set that includes Bond Markets, ETFs, Quantitative Finance, Applied Mathematics, Index Funds and more, Ghassen Menchaoui contributes valuable insights to the industry. Ghassen Menchaoui has 3 emails on RocketReach.