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Schlomy Botbol

Quantitative Analyst / Portfolio Manager chez COMGEST
Paris 08, Île-de-France, France
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Schlomy Botbol is a seasoned Senior Portfolio Manager with over 15 years of experience in cross asset alternative strategies, both absolute return and directional, invested in cash and derivatives instruments. He is an expert in derivatives with a strong background in portfolio management, trading, and quantitative research of innovative investment solutions. With his vast trading experience in cross-assets derivatives, he has specialized in Equity Indices, Fixed Income, FX, and Commodities Derivatives. Before working in asset management, he began his career at BNP Paribas Arbitrage, where he worked on equity index arbitrage on European indices and statistical arbitrage on single stocks.

Schlomy has worked for renowned organizations such as COMGEST, UBP, and Societe Generale Asset Management, and he has contributed extensively to the field of finance. He has spearheaded the development of sophisticated tools dedicated to trading, research, and risk management of derivatives. He was also a lecturer on Volatility Trading Strategies at Paris Dauphine University. His expertise and experience in portfolio management and risk management have earned him recognition, being part of the award-winning team in 2008, receiving both EuroHedge and HFR awards.

Schlomy Botbol is an exceptional asset to any organization, and his immense knowledge and expertise are essential for companies that wish to explore and expand their investment portfolios. As a former student of Master 203 in Financial Markets, his vast experience and education have honed his skills to be an asset in structuring cross-asset investment solutions.

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