About Olivier
Prior to this, Olivier has been an equity analyst and equity portfolio manager for 20 years, working on both European and Global equities and specialising in the coverage of the energy, materials and industrial sectors.
Before joining RI Research, Olivier was co-portfolio manager of the AXA WF Framlington Sustainable Europe fund.
Olivier joined AXA IM in 2007 to work on a natural resource fund focusing on oil & gas, metals & mining, and agriculture. He then participated in the equity research platform to contribute to stock picking for global and European equity products, before becoming a portfolio manager – analyst in AXA IM’s European equity team.
Prior to joining AXA IM, Olivier worked for 9 years at BNP Paribas Asset Management, where he started as a financial controller, before spending 6 years in the European equity team as a buy side equity analyst. Previously, Olivier was a Treasury & Investment Analysts for AGF Nafta Ltd in Toronto for 2 years.
Olivier is a CFA Charterholder. He holds a Master of Science in Finance from the University of New Haven (Connecticut) and a Master in Financial Engineering from Paris I Panthéon – Sorbonne University.
Read Olivier's latest articles
Understanding scope 3: How responsible investors can wrestle with the unruliest of emissions
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- 23 February 2023 (10 min read)
Meagre but maybe meaningful: The key COP27 takeaways for investors
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- 23 November 2022 (7 min read)
COP 27: Modest hopes for a climate meeting convened in an energy crisis
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- 28 October 2022 (5 min read)
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