Managing market risk in investment portfolios

Description : Michael Lavigne, Portfolio Manager, Systematic Investment Strategies at Fiera Capital reveals why he believes it is essential to insure your portfolio against large market drawdowns, and how the Systematic Investment Strategy team manages the risk in its clients' portfolios.

Recorded on March 22, 2019

Michael Lavigne is a Portfolio Manager for Fiera Capital’s Systematic Investment Strategies (SIS) team. He is involved in the creation and management of customized quantitative and systematic solutions, and in risk management strategies. M. Lavigne has 6 years of experience in the investment field and joined the Firm in 2016. He previously worked as an Associate Manager for an investment management firm, where he was responsible for the development and management of several quantitative strategies. Mr. Lavigne began his career working as a Quantitative Alternative Fund Analyst. He received a bachelor’s degree in business administration from Bishops University, where he majored in finance and economics, and a master’s degree in Financial Economics from HEC Montréal. Mr. Lavigne also holds his Financial Risk Manager (FRM) and his Certified Investment Manager (CIM®) designations.

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