Karl Eychenne

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  • Lyxor Asset Management
  • Quantitative Strategist
Karl Eychenne joined Lyxor in 2009 as a quantitative / strategist and economist. Prior to joining Lyxor, he served as  Quantitative / Strategist on Bond, FX, and Equity markets at HSBC Asset Management in 1997. While, from 2002 to 2006, he worked as Balanced Fund Manager. Karl joined the team of SGAM AI‘s Dynamic Portfolio Insurance in 2006.

He graduated with a Master’s in Financial Market Econometrics and Macroeconomics from the University of Toulouse (1996).

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