Lead Portfolio Manager
Sebastien is Portfolio Manager and Head of Research at Longchamp AM. Sebastien is also lecturer at the Paris-Dauphine University. He has an extensive experience in derivatives markets and cross-assets strategies. Prior to joining Longchamp AM, Sebastien worked as a fund manager and financial engineer at Lyxor Asset Management, Société Générale Corporate & Investment Banking and Deutsche Bank. He was notably in charge of setting-up and managing Lyxor Asset Management’s volatility funds and developed several systematic and discretionary strategies based on derivatives and cross-assets analysis. Sebastien holds a PhD in Economics from Paris-Dauphine University. His PhD focused on the forecasting of economic and financial crises and statistical methods dedicated to global macro and tail-risk analysis.
President – Managing Director
David is Chief Executive Officer at Longchamp Asset Management, which he founded in 2013. Previously, he was a Managing Director at Morgan Stanley & Co. International Plc, heading the investment bank’s Funds and Fund Linked business globally. In particular, he was in charge of the FundLogic UCITS Platform and served as President of the French asset management company, FundLogic SAS. Prior to joining Morgan Stanley, David had spent fourteen years within the Global Equity and Derivatives Solutions division at Société Générale. After joining the group in Paris, David moved to Milan to head the global capital markets operations including all Equity and Fixed Income activities. He also chaired the Italian alternative asset management company, Lyxor SGR. Thereafter, he moved to New York to head up Structured Products Sales for the Americas. David holds a master’s degree in Business Administration from EDHEC, Lille, France.