serves as the Smart Beta Portfolio Manager, managing client mandates and
providing expertise on the Risk Based Investment Services investment process.
He joined Rothschild & Co in 2016 and has over ten years of experience in
began his professional career as a management consultant at a boutique strategy
consulting firm before moving to financial services sector in 2006. His
functional experience includes quantitative research, risk management,
portfolio management, trading and index design and structuring. In his recent
role as Director, Commodity Index Sales and Structuring at RBC Capital Markets,
he developed and structured bespoke dynamic indices for institutional clients.
Independently, Martin also advised a global macro and commodity hedge fund on
market entry and algorithmic investment strategy design for a liquid
alternative mutual fund product.
holds a Bachelor’s of Science degree in engineering from Brown University and
PhD from Carnegie Mellon University in chemical engineering.