Benoît de Cagny
Prior to joining Tabula Capital, Benoit was a Structured Credit Trader at Chenavari Investment Managers for the long/short credit strategy where he focused on the trading and risk management of macro and correlation risk. Previously, he was an Assistant Portfolio Manager at Chenavari focused on multiple liquids desks (financials, relative value, corporates, macro). He started his career with various placements at Credit Agricole and Natixis across FX structuring and M&A.
Benoit holds an Engineering Degree from the École Nationale des Ponts et Chaussées and an MSc Risk Management & Financial Engineering from Imperial College Business School.