Xavier Marconnet Cfa, Frm

Head Of Equity Risk Premia, Executive Director at Unigestion SA

Xavier Marconnet, CFA, FRM has a diverse work experience in the finance industry. Xavier started their career in 2000 as a Developer at Earthport Plc. In 2001, they joined Evolution Plc as a Consultant and worked there until 2005. At Marble Bar Asset Management, Xavier worked as an Automated Strategies Execution Trader and Technical Lead from 2005 to 2009. Since 2009, they have been working at Unigestion, where they have held various roles including Head of Equity Risk Premia and Quantitative Equity Portfolio Manager. In their current role, they are responsible for managing portfolios, conducting research, developing business, and overseeing a team.

Xavier Marconnet, CFA, FRM, obtained a Beng Hons degree in Software Engineering from Edinburgh Napier University, where they studied from 1997 to 2000. Prior to that, they completed a BSc in Applied Physics at Edinburgh Napier University from 1996 to 1997. Xavier also holds an HND in Applied Physics from Université Jean Monnet Saint-Etienne, where they studied from 1994 to 1996. Xavier Marconnet attended College St Louis - St Etienne from 1987 to 1994, although the specific degree and field of study are not provided.

In terms of additional certifications, Xavier Marconnet has earned several qualifications. Xavier obtained a Certificate in ESG Investing from CFA UK in October 2021. In April 2021, they completed the Investment Management with Python and Machine Learning course at EDHEC Business School on Coursera. In February 2021, they completed the Fintech: Foundations & Applications of Financial Technology program at the University of Pennsylvania. Additionally, in December 2020, Xavier Marconnet completed the Machine Learning for Trading course offered by Google Cloud & New York Institute of Finance on Coursera. Xavier also holds an Advanced Portfolio Construction and Analysis with Python certification from EDHEC Business School on Coursera, which they obtained in January 2020. Prior to that, in June 2013, they earned the Financial Risk Manager (FRM®) designation from GARP. Xavier Marconnet has also obtained the Chartered Financial Analyst (CFA) designation from CFA Institute in June 2011.

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