Mehdi-Vincent Hacini

Mehdi-Vincent Hacini

Quantitative Analyst

Bio

Mehdi-Vincent has been a quantitative analyst in the QRG Multi Asset Solutions team since 2014. In this role, he conducts research and development on the design of customised multi-asset solutions, including liability-driven investments, risk overlays and solvency II related solutions. He is based in Paris.

Previously, Mehdi-Vincent was employed in front office IT support development in BNP Paribas CIB. Before that, in his first post, he spent one year as an apprentice assistant portfolio manager in Alternative & Equity Multi-Management team at Caisse des Dépôts et Consignations in Paris. He has eight years of investment experience.

Mehdi-Vincent Hacini holds a master’s degree in Quantitative Finance from the Ecole Nationale Supérieure des Mines de Saint-Etienne and a master’s degree in Actuarial Sciences from the Institut de Science Financière et d’Assurances of Lyon.

Location Paris

Articles from Mehdi-Vincent Hacini

Article

Long-term asset allocation – A resilient world

In the 2026 edition of our Long-term asset allocation study, we present our expectations for returns over five, 10- and…

Article

Long-term asset allocation – A resilient world

In the 2026 edition of our Long-term asset allocation study, we present our expectations for returns over five, 10- and…

Article

Long-term asset allocation – A resilient world

In the 2026 edition of our Long-term asset allocation study, we present our expectations for returns over five, 10- and…

Article

Rethinking glide path design

Target date funds – often the default investment choice in retirement plans – promise a simple solution: start with a…

Article

Rethinking glide path design

Target date funds – often the default investment choice in retirement plans – promise a simple solution: start with a…

Article

長期アセットアロケーション見通し「グレート・ディスラプション?」

BNPパリバ・アセットマネジメント(BNPP AM)は、長期のアセットアロケーションに関する見通しをまとめたレポートを発行しました。トランプ氏の米大統領再選に伴う世界貿易や地政学的な変化は、長期投資家にどういった影響をもたらすのでしょうか。こうした破壊的な変化(ディスラプション)が、経済成長やインフレ、各資産クラスのパフォーマンスに与える影響についてまとめています。主なポイントは以下の通りです。

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