Fund Manager
Tarik brings over two decades of experience in risk management, quantitative investments and systematic strategies. As Group Head of Financial Risk, he was responsible for the risk management of an international financial group with over 250 billion US dollars in assets under management. In his role in research and portfolio management at one of the leading macro hedge funds, he worked on the development and implementation of systematic strategies at the highest institutional level.
He has in-depth knowledge of quantitative analysis, modeling and machine learning, which he passed on as a professor of mathematics and machine learning at HEPIA in Switzerland. He also held a senior product management position at a leading provider of risk management solutions. Tarik holds a PhD in Theoretical Physics and combines academic depth with many years of practical experience in the financial industry.
Email: tg@mrbpartner.ch
Phone: +41 44 454 25 65