Benjamin Madar

Benjamin Madar

Multi Asset Portfolio Manager Analyst @ Russell Investments

About Benjamin Madar

Benjamin Madar is a Multi Asset Portfolio Manager Analyst at Russell Investments, where he has worked since 2021. He has a diverse background in finance and risk analysis, having held positions at notable firms such as Morgan Stanley and Société Générale.

Current Role at Russell Investments

Benjamin Madar serves as a Multi-Asset Portfolio Manager Analyst at Russell Investments. He has held this position since 2021, contributing to the firm's investment strategies and portfolio management efforts. His role involves analyzing various asset classes to optimize investment performance and manage risk. Based in Paris, Île-de-France, he has accumulated three years of experience in this capacity.

Previous Experience in Finance

Prior to his current role, Benjamin Madar gained diverse experience in the finance sector. He worked at Morgan Stanley as a Cash Equity Sales Trader Analyst for four months in 2020 in Paris. He also held a position as a Quantitative Risk Analyst at Société Générale for four months in 2018. Additionally, he served as a Hedge Fund Analyst at Lyxor Asset Management for six months in 2019. His early career included a role as a Junior Project Leader at AXA en France for one month in 2017.

Education and Academic Background

Benjamin Madar has a strong educational background in finance and engineering. He studied at ECE Paris, where he earned a Master of Science in Engineering (M.Sc.Eng) in Financial Engineering from 2014 to 2019. He furthered his education at ESSEC Business School, obtaining a Master's degree in Finance from 2019 to 2021. Additionally, he attended the University of Newcastle, where he studied Computer Software Engineering for 11 months in 2016.

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