Julien Rolland

Portfolio Manager, Rates

Main responsibilities

Julien is a member of the Euro Sovereign Rates team and is responsible for the management of euro sovereign funds, euro inflation products, euro aggregate and absolute return funds for the Paris office, including the management of derivatives for open funds.

Experience and qualifications

Julien started his career at Aviva Investors as a quantitative risk analyst and joined the front-office team as a quantitative analyst two years later. Julien holds an Engineer’s degree in Applied Mathematics and Computer Science and a Master’s degree in Quantitative Finance. He passed the FRM certification in 2014.