Matthieu Cheylus

High Yield Portfolio Manager at SCOR Investment Partners
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Contact Information
us****@****om
(386) 825-5501
Location
France, FR

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Experience

    • France
    • Investment Management
    • 1 - 100 Employee
    • High Yield Portfolio Manager
      • Apr 2023 - Present

      Ville de Paris, Île-de-France, France - Co-manage a number of open-ended and dedicated Euro High Yield funds for institutional investors - Monitor the primary deal flow and participate in all investment decisions - Proactive portfolio management through secondary trading to optimize performance - Analyze market trends and prepare comments for investor reports

    • Fixed Income Analyst
      • Nov 2021 - Apr 2023

      Responsible for performing fundamental credit analysis and generate trade ideas for High Yield and Investment Grade fund managers: - Provide fund managers with buy or sell recommendations based on expected changes in issuer credit quality and on relative value analysis - Identify new investment opportunities both on the primary and secondary market - Interact with companies’ management, sell-side community and rating agencies - Coordinate weekly relative value/credit meetings… Show more Responsible for performing fundamental credit analysis and generate trade ideas for High Yield and Investment Grade fund managers: - Provide fund managers with buy or sell recommendations based on expected changes in issuer credit quality and on relative value analysis - Identify new investment opportunities both on the primary and secondary market - Interact with companies’ management, sell-side community and rating agencies - Coordinate weekly relative value/credit meetings with SCOR IP portfolio managers - Closely monitor the financial performance of around 20 High Yield issuers

    • United States
    • Financial Services
    • 700 & Above Employee
    • Senior Analyst - Covered Bonds & Structured Finance
      • Sep 2017 - Oct 2021

      - Assign ratings to European securitization transactions (covered bonds, RMBS, ABS) - Model securitization cash flows under various structures and stresses - Perform in depth analysis of retail loan portfolios - Review legal documents as part of the rating analysis - Monitor bank lending practices during management meetings - Conduct research and participate in presentations on credit analysis and loan markets

    • France
    • Banking
    • 700 & Above Employee
    • Junior Economist
      • Sep 2015 - Sep 2017

      Paris Area, France - Collected and ensured the accuracy of macroeconomic and financial data - Processed the statistical analysis of data and calibrated econometric relationships - Contributed to the improvement of the macroeconomic stress test scenario generation framework - Analyzed economic conditions of Euro Zone countries - Participated in publications of macroeconomic Dashboards published by the team Department: Risk Anticipation - MacroRisks & Scenarios

    • Business Consulting and Services
    • 1 - 100 Employee
    • Intern
      • Feb 2015 - May 2015

      Région de New York City, États-Unis Business Development Consulting

Education

  • Université Paris Dauphine
    Masters 272 Economics and Financial Engineering
    2015 - 2017
  • Université Paris Dauphine
    Bachelor's of Economics and Financial Engineering
    2012 - 2015
  • Lunds universitet
    2014 - 2014

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