Head of Credit Portfolio Management Quantitative Team @ Societe Generale
Head of the Counterparty risk Quantitative team. @ Societe Generale
Mohamed Selmi's Education
HEC Paris
Post Graduate Degree (International Finance)
2004 - 2005
Université Denis Diderot (Paris VII)
Post Graduate Degree (Statistics and Stochastic processes applied in Finance)
2003 - 2004
ENSAE Paris
(Finance and Statistics)
2001 - 2004
Lycée pilote tunis
Mohamed Selmi's Skills
Quant
Portfolio Management
Quantitative Investing
Equity Derivatives
Fixed Income
Derivatives
Quantitative Finance
Market Risk
Structured Products
Financial Markets
Mohamed Selmi's Summary
Mohamed Selmi, based in Paris, FR, is currently a Director - Head of Market and Liquidity Risks (LCH SA) at London Stock Exchange Group (LSEG), bringing experience from previous roles at London Stock Exchange Group (LSEG), Société Générale Corporate and Investment Banking and Societe Generale. Mohamed Selmi holds a 2004 - 2005 Post Graduate Degree in International Finance @ HEC Paris. With a robust skill set that includes Quant, Portfolio Management, Quantitative Investing, Equity Derivatives, Fixed Income and more, Mohamed Selmi contributes valuable insights to the industry. Mohamed Selmi has 3 emails on RocketReach.