Profil
Mr. Bedis Gharbi is a Portfolio Manager at Axiom Alternative Investments SAS. He joined the firm in September 2019 as senior portfolio manager to support the growth of Axiom’s alternative strategies in the credit universe.
WIth 20 years of experience in credit derivatives, Bedis joined the London office where he is responsible for managing the Axiom Credit Opportunity fund with Laurent Henrio.
He began his career in 1999 at SG Capital Markets in the exotic credit department where he was in charge of correlation management and CDS trading.
He then held the position of Head of the Correlation and CVA desk at RBC Capital Markets (2005-2007) before becoming a credit portfolio manager at SPQR Capital.
He worked at Société Générale.
he was previously in charge of credit correlations at Deutsche Bank, which he joined in 2009, before being appointed Head of Credit Funds at RiverRock in London in 2015.
He is graduated from École Polytechnique and ENSAE.
Postes actifs de Bedis Gharbi
| Sociétés | Poste | Début |
|---|---|---|
Axiom Alternative Investments SAS
Axiom Alternative Investments SAS Investment ManagersFinance Axiom is an active, long-term manager which focuses on purchasing Basel 2 tier 1 and Tier 2 securities issued by European financial institutions, seeking to achieve a return equal to or greater than its benchmark (IBOXX EURO TIER 1). The firm selects bonds or debt securities issued by European financial institutions with a long track record and strong market presence. They construct diversified portfolios based on risk allocation and securities and prepare detailed scenarios and stress tests for different interest rates and credit spreads. The fund is not sector-specific and may hedge against credit risk through the use of credit default swaps or cash exposure in the credit market. | Portfolio Manager-Fixed Income | 01/09/2019 |
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Sociétés liées
| Entreprise privées | 1 |
|---|---|
Axiom Alternative Investments SAS
Axiom Alternative Investments SAS Investment ManagersFinance Axiom is an active, long-term manager which focuses on purchasing Basel 2 tier 1 and Tier 2 securities issued by European financial institutions, seeking to achieve a return equal to or greater than its benchmark (IBOXX EURO TIER 1). The firm selects bonds or debt securities issued by European financial institutions with a long track record and strong market presence. They construct diversified portfolios based on risk allocation and securities and prepare detailed scenarios and stress tests for different interest rates and credit spreads. The fund is not sector-specific and may hedge against credit risk through the use of credit default swaps or cash exposure in the credit market. | Finance |
















