We have a new professor in the Advanced Master in Financial Markets:  Jean-Michel PAUL will be teaching the insurance-related part of the course Banking and Insurance (Term 3 of the program). 

Dr. Paul is an expert in the insurance business  as CEO of a London-based hedge fund, Acheron Capital Ltd, which focuses in particular on insurance-related assets and also as co-founder of a Fintech on London, AkinovA, an electronic marketplace for the transfer and trading of insurance risk. 

He is a graduate from the Solvay Brussels School and has a PhD from Berkeley.  He is a regular contributor of articles to Bloomberg, where some of his pieces have attracted over 4 million hits.  Be one of them: go to Bloomberg and read his most recent piece Why we Have to Talk about a Bubble if you want to know why inflation has not crept up despite QE and its massive flood of liquidity and why QE has become a drug on which markets are dangerously hooked.

You can find Dr.Paul’s short biography on our website: am.solvay.edu/financial-markets-teachers


The Advanced Master in Financial Markets has been designed to give its participants the tools they need to understand how the financial markets work in practice, with courses given by an exceptional cast of professors. This has helped them find attractive jobs and be effective faster in their professional environment.

Job placement rate: about 80% even before graduation.
Ranked 1st in Belgium and in top 50 in the world in the Financial Markets masters category by Eduniversal Best Masters in the World.

 

☞ More information on the Advanced Master in Financial Marketsam.solvay.edu/financial-markets