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Head of ILS
Sidney joined SCOR Investment Partners as ILS Portfolio Manager in July 2015. He particularly acts as Portfolio Manager in the collateralized reinsurance and private transactions area. In April 2019, he was promoted to Head of ILS. Before joining SCOR Investment Partners, Sidney spent nine years at Natixis where he was in charge of the ILS business. His responsibilities included origination, structuring and placement of catastrophe bonds and private transactions. Sidney previously held a Senior Structurer position at Marsh, where he created and developed a European catastrophe bond and weather derivative activity. Prior to that, Sidney worked as Head of the Structured Products Back Office at Crédit Foncier de France then as a FX and interest rate trader at Dexia.
Sidney holds a Master’s in capital market finance from the Skema Business School, Sophia Antipolis.
Sidney won the 2014 Trading Risk “Life Transaction of the Year” Award as Structurer and Joint Lead Manager of the Atlas IX 2013 extreme mortality bond.
ILS Portfolio Manager
Pierre-Sylvain joined SCOR Investment Partners in October 2021 as ILS portfolio manager. Before joining SCOR Investment Partners, he worked as a senior natural catastrophe risk analyst for more than 5 years at LGT ILS Partners in Zurich. Pierre-Sylvain started his career at SCOR in London in 2010 as a natural catastrophe modeler. He then joined the Natural Catastrophe Risk department of SCOR Global P&C in Paris in 2012 to cover the Western Europe area.
Pierre-Sylvain holds a Master "Applied Mathematics and Informatics" from Université Catholique de l’Ouest in Angers.
ILS Analyst
Michel joined SCOR Investment Partners UK in 2019 through the acquisition of Coriolis Capital, a London-based company where he held the position of ILS Analyst since 2018. He started his career in Paris, working as a project finance analyst for Crédit Foncier de France, focusing on PPP infrastructure projects. He then worked at BNP Paribas Investment Partners within the financial engineering team. In 2016 he moved to London and joined Dar Al-Handasah, delivering transaction and operating financial models for infrastructure investments based in the MENA zone.
Michel holds a MSc in Portfolio Management from University Paris-Est Creteil. He is also a CFA charterholder.
ILS Portfolio Manager
Arthur joined SCOR Investment Partners in July 2025 as an ILS Portfolio Manager. He particularly acts as Portfolio Manager in the collateralized reinsurance and private transactions area. Before joining SCOR Investment Partners, Arthur held the position of Senior ILS Structurer at Swiss Re Capital Markets in New York, where he structured over 10 catastrophe bond transactions. Previously, Arthur spent six years at Credit Suisse Insurance Linked Strategies in Zurich as an Underwriter.
Arthur holds a Master of Arts in Economics from New York University as well as a Quantitative Studies for Finance Certificate from Columbia University.
ILS Portfolio Manager
Ting joined SCOR Investment Partners as ILS Portfolio Manager in October 2024, focusing on the public catbonds market. Before joining SCOR Investment Partners, Ting spent six years at AXA Investment Managers where she was working as ILS portfolio manager. She also spent three years at AXA Global Direct where she was working on financial risk management.
Ting holds a master’s degree in management from HEC Paris and a bachelor’s degree in finance from Nanjing University.
ILS Analyst
Gwendoline Goutain joined SCOR Investment Partners in 2022 as an ILS analyst. Gwendoline began her career at AXA Global P&C in 2015 as a CAT Modeler where she was responsible for internal seismic risk modelling and operational exposure monitoring of seismic risk. In 2017, she joined AXA GIE's Group Risk Management team, where she participated in exposure monitoring and entity CAT risk analysis.
Gwendoline holds a Master's degree in Geology and Natural Hazards from the Institut de Physique du Globe de Paris and a Data Analyst certification from LePont-Berkeley.
ILS Analyst
Guillaume joined SCOR Investment Partners UK in 2019 through the acquisition of Coriolis Capital, a London-based company where he held the position of ILS Portfolio Manager since 2003. He started his career at AXA Investment Managers in Paris, as an analyst focusing on European Fixed Income Portfolios. He then joined the London branch of Société Générale as a trader in the Insurance & Weather Derivatives group, focusing mainly on research and trading of weather derivatives.
Guillaume holds Master’s degrees in degrees in Applied Mathematics and Asset Management from Paris-Dauphine University.
ILS Analyst
Gwennoline joined SCOR Investment Partners in April 2019 as an ILS Risk Manager. She was promoted to Analyst within the ILS team in June 2023.
She started her career in 2017 with SCOR P&C, firstly as business analyst in the EMEA Underwriting department, and then as actuarial analyst for French and Belgium markets in the Pricing department.
Gwennoline holds a master's degree from ECE Paris in financial and quantitative engineering and a master's degree from ENASS in Insurance Management.
ILS Portfolio Manager
Grégory joined SCOR Investment Partners in June 2011 as an Equity and Derivatives Quantitative Analyst and Portfolio Manager. He became ILS Analyst in June 2014 before being appointed ILS Portfolio Manager in April 2019. He started his career in 2001 at Natexis as an Analyst with the equity and derivatives prop-trading team. He moved to ADI in 2006 as a Quantitative Analyst (for credit, equities and convertible strategies) and Portfolio Manager. In 2009, he joined OFI as an Index Arbitrage Portfolio Manager and Deputy Head of the quantitative research team.
Grégory holds a PhD in Mathematics from the Toulouse University and an engineering degree from ENSAE (Sup'Aéro).
The SCOR group has noted an increase in fraudulent acts aimed at misappropriating funds from individuals, prospective clients or any other person
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