Laurent Garrigue, Cfa

Laurent Garrigue, Cfa

Head Of Rates Portfolio Management @ HSBC

About Laurent Garrigue, Cfa

Laurent Garrigue is the Head of Rates Portfolio Management at HSBC Global Asset Management, a position he has held since 2020. He has extensive experience in portfolio management, quantitative analysis, and fixed income strategies, with previous roles at IXIS AM and HSBC.

Work at HSBC

Laurent Garrigue currently serves as the Head of Rates Portfolio Management at HSBC Global Asset Management, a position he has held since 2020. Prior to this role, he worked at HSBC in various capacities, including Senior Portfolio Manager - Fund Analyst from 2005 to 2015 and Financial Engineer - Fixed Income Quantitative Research from 2015 to 2020. His tenure at HSBC spans over 15 years, during which he has contributed to the management of fixed income portfolios and quantitative research initiatives.

Education and Expertise

Laurent Garrigue studied at CentraleSupélec from 1992 to 1995, where he gained foundational knowledge in engineering and quantitative analysis. He is also a Chartered Financial Analyst (CFA), which underscores his expertise in finance and investment management. His education and professional qualifications support his proficiency in designing quantitative models for fixed income strategies.

Background

Laurent Garrigue has a diverse professional background in asset management and quantitative analysis. He began his career at IXIS AM as a Portfolio Manager - Quantitative Analyst from 1997 to 2001. He has extensive experience in managing absolute return funds and strategies, as well as CTA hedge funds. His roles have included significant contributions to fixed income quantitative research, demonstrating his analytical capabilities in the financial sector.

Achievements

Throughout his career, Laurent Garrigue has been involved in various aspects of portfolio management and quantitative analysis. His work at HSBC Global Asset Management has included overseeing rates portfolio management and contributing to the development of fixed income strategies. His experience spans over two decades, reflecting a commitment to advancing investment management practices.

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