Max Guimond, CFA, FRM

Solutions Strategist and Derivatives Portfolio Manager

Max is a Solutions Strategist and Derivatives Portfolio Manager within the Liability Driven Investment group for Standish. He is responsible for designing and implementing custom derivatives solutions in LDI and overlay strategies. In addition, Max is also responsible for structuring various LDI solutions for specific liability-based benchmarks. Max joined the firm in 2015 from Legal & General Investment Management America (LGIMA) where he structured and managed various LDI strategies. Prior to LGIMA, he worked as a financial risk manager and derivatives trader at Milliman Inc. where he was responsible for the implementation of various hedging programs of variable annuities and other insurance products. He has an B.E. in Mechanical Engineering from the Thayer School of Engineering at Dartmouth College and also a B.A. from Dartmouth College. Max is a certified Financial Risk Manager and holds the CFA® designation. He has 9 years of risk management investment experience.

Research & Insights
by Max Guimond, CFA, FRM


Completion Management: The Capstone of an LDI Strategy

Completion Management: The Capstone of an LDI Strategy


Max Guimond, CFA, FRM