Mirova
David Belloc, CFA, is a seasoned financial professional with extensive experience in portfolio management and investment strategy. Currently serving as a Cross Asset Portfolio Manager/Strategist at Mirova since August 2018, David is responsible for cross asset strategies, financial engineering, and co-managing equity carbon strategies, including the launch of initiatives like the Mirova Europe Sustainable Economy Fund and the Mirova Global Carbon Neutral Fund. Previously, David held roles at Seeyond as a Smart Beta Portfolio Manager, where the Seeyond Equity Factor Investing strategy was developed, and at Natixis Asset Management as a Quantitative Equity Portfolio Manager, focusing on dedicated mandates for institutional clients. Early career experience includes managing European convertible bonds at BFT Investment Managers and working as a Quantitative Analyst at Amundi, specializing in structured products and liability-driven investments. David is a CFA Charterholder and a graduate of the Institut de Science Financière et d'Assurances, as well as a member of the French Institute of Actuary.
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Mirova
Finance should be a tool for steering the economy towards models which, on the one hand, preserve and restore ecosystems and the climate, and on the other hand, support social inclusion, health and well-being. Mirova is a B Corp™ certified investment manager 100% dedicated to sustainable investment. We seek to reconcile societal and financial performance by placing our expertise in sustainable development at the heart of our investment strategies. As of December 31, 2022, Mirova and its affiliates manages 27.2 billion euros. Mirova is an affiliate of Natixis Investment Managers.