Nicolas Vaugeois, CFA

Vice President and Portfolio Manager, Global Fixed Income at Fiera Capital
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Contact Information
us****@****om
(386) 825-5501
Location
Montreal, Quebec, Canada, CA

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Experience

    • Canada
    • Financial Services
    • 400 - 500 Employee
    • Vice President and Portfolio Manager, Global Fixed Income
      • Jul 2020 - Present

      Portfolio Manager, Global Fixed Income at Fiera Capital. Co-Lead of the Fiera Global Multi-Sector Income Fund and other Global Fixed Income strategies. Invest in Investment Grade, High Yield and Emerging Market debt. Combine Top-down and bottom-up analysis.

    • Portfolio Manager, Global Asset Allocation
      • Sep 2018 - Jul 2020

      Portfolio Manager, Global Asset Allocation at Fiera Capital. In this role, he is involved in the management of the Fiera Multi-Strategy Income Fund, Global Bonds and Non-traditional Income strategies. He also contributes to the Asset Allocation Committee.

    • Assistant Portfolio Manager, Non-Traditional Income
      • Oct 2017 - Aug 2018

      Assistant Portfolio Manager of the Fiera Multi-Strategy Income Fund and Global Fixed Income Strategies. Contributes to the Asset Allocation committee by providing input on capital market trends, Macroecnomics research, fundamental and technical analysis

    • Senior Analyst- Global Asset Allocation
      • Jan 2017 - Sep 2017

      -Senior Analyst, Asset Allocation Team; Provide input on capital market trends and recommendations based on macroeconomics research. -Develop and implement investment strategies on Global Fixed Income, Non-traditional Fixed Income and Currencies through fundamentals and technical analysis. -Macroecnomics research, fundamental and technical analysis.

    • Analyst, Global Asset Allocation
      • May 2013 - Dec 2016

      Montreal, Canada Area -Analyst, Asset Allocation Team; Provide input on capital market trends and recommendations based on macroeconomics research. - Develop investment recommendations on Global Fixed Income and FX through fundamentals and technical analysis and execute trades. - Macroeconomics research, fundamental and technical analysis. -Credit Research -Monitoring client portfolios’position weights and re-balancing to target weights

    • Analyst
      • Jan 2013 - Apr 2013

    • Canada
    • Financial Services
    • 500 - 600 Employee
    • Fixed Income Analyst
      • Jun 2012 - Aug 2012

      Montreal, Canada Area Industrial Alliance Securities: Macroeconomics research, fundamental and technical analysis on Fixed Income Market Provide input on capital market trends and propose recommendations on Canadian Fixed Income Market (Federal, Provincial and Municipal bonds)

    • Canada
    • Higher Education
    • 700 & Above Employee
    • Analyst
      • Jan 2011 - May 2012

      Montreal, Canada Area HEC Montreal in Collaboration with Standard Life created an investment fund with $4 million in assets under management. The fund was exclusively managed by a group of undergraduate and graduate students. I was the Portfolio manager of the fixed income portfolio valued at $2 million. Represent the fund at R.I.S.E. Forum in Dayton, Ohio

    • Canada
    • Financial Services
    • 400 - 500 Employee
    • Portfolio Administrator
      • Jun 2011 - Aug 2011

      Montreal, Canada Area Worked in the settlement department.

    • Canada
    • Financial Services
    • 400 - 500 Employee
    • Portfolio Administrator
      • May 2010 - Aug 2010

      Montreal, Canada Area Processed Trades given by the Asset Manager. Communicated level of cash flows in Pooled Funds to Portfolio Manager

Education

  • HEC Montréal
    Master of Science (M.Sc.), Finance: Capital Markets
    2011 - 2013
  • HEC Montréal
    Bachelor of Business Administration (B.B.A.), Finance, General
    2008 - 2011

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