BNP AM

The sustainable investor for a changing world

Search for

Filter by

Asset class

Economics

Geography

Investing

Fabien BENCHETRIT

Fabien BENCHETRIT

Senior Portfolio Manager, BNP Paribas Asset Management.

Location: Paris

Over 15y of experience
Fabien is in charge of diversified multi-asset funds with a risk-based approach and absolute return strategies for MAQS. He is co-managing the flagship “BNPP Target Risk Balanced” and contributes to the investment committee. He joined BNP Paribas Asset Management in 2008, as an alternative portfolio manager.
In 2000, he started his career as “Portfolio controller” on equity derivatives for Societe Generale CIB then became “Risk Manager” responsible of a team dedicated to the monitoring of risk indicators (Var, Stress tests). In 2004, he became trader on exotic products for SGCIB in charge of the market making and hedging.
Fabien gained Master’s degrees in market finance from the University of Paris Dauphine in 1999 and the University of Lyon in 2000.
Fabien is based in Paris.

Published by Fabien Benchetrit

Is diversification over?
Portfolio perspectives | Article - 5 Min

Is diversification over?

Diversification – exposure to multiple risky assets to help reduce portfolio risk – can enable a portfolio to thrive in...

FABIEN BENCHETRIT
| 18.06.2021
A new generation of flexible strategies – Navigating with a ‘foil’
Portfolio perspectives | Article - 4 Min

A new generation of flexible strategies – Navigating with a ‘foil’

In 2021, our IsoVol strategies will integrate an acceleration factor, measuring the speed of changes in volatility. This addition improves...

FABIEN BENCHETRIT
| 03.02.2021

Viewpoint highlights

Subscribe to receive this week’s articles straight to your inbox.

Please enter a valid email
Please check the boxes below to subscribe

FOLLOW VIEWPOINT

Receive daily updates