Fouad is responsible for thematic regulatory research and idea generation for fixed income and swap markets. He analyses the impact of financial markets regulations on the asset allocation and hedging behaviour of pension funds and insurance companies and assesses the implications on the fixed income markets. With his previous experience in fixed income and interest rate derivatives sales at ABN AMRO he has a strong understanding of the strategic issues the buy-side is facing. Fouad holds a master’s degree in Financial Economics from the Erasmus University in Rotterdam.

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