Florian is currently a research associate at the MIT Sloan School of Management. His research interest covers sustainable investing with a focus on ESG ratings, the disagreement between different rating agencies, and how it affects investors, firms, as well as academia.
He received his PhD in economics from Paris-Dauphine University. During his PhD, he held a visiting research position at ETH Zurich. He also holds a BSc in economics and a MSc in financial engineering from Paris-Dauphine University. Florian worked as a quantitative researcher at Amundi Asset Management and as a quantitative strategist/ trader at Alphadyne Asset Management. He also lectured portfolio management and fixed income analysis on the satellite campus in New York of Paris-Dauphine University as well as economics at Sciences-Po.
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