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For purposes of this Website, the term "Institutional" includes but is not limited to sophisticated non-retail investors such as investment companies, banks, insurance companies, investment advisers, plan sponsors, endowments, government entities, high net worth individuals and those acting on behalf of institutional investors. The Website contains information, material and content about RBC Global Asset Management (collectively, the “Information”).

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Maîtrise en économie et en finance (2001), Université de Warwick, Royaume-Uni ; baccalauréat en économie, Université de Nottingham Trent, Royaume-Uni ; diplôme de premier cycle en finance et en assurance, Université de l’Ouest, Roumanie.

M. Florian est le premier gestionnaire de portefeuille, Marchés émergents BlueBay de l’équipe Titres à revenu fixe BlueBay de RBC Global Asset Management (UK) Limited. En matière de gestion de portefeuille, il est principalement responsable de la stratégie illiquide relative à des prêts, des instruments illiquides, des situations particulières et des placements dans des titres de sociétés en difficulté. Avant de se joindre à l’organisation en 2020, il a été partenaire fondateur des stratégies de crédit d’un fonds de capital-investissement. Par le passé, il a aussi dirigé l’équipe de structures des marchés émergents pour l’ensemble des titres à revenu fixe, des devises et des marchandises dans une banque d’investissement américaine. Il a commencé sa carrière dans le secteur des placements au sein d’une banque d’investissement multinationale en 2001.


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