Nicolas is a Senior Volatility Portfolio Manager at Argentière Capital, having joined the firm at inception in 2013. Nicolas’ primary area of expertise is in single stock volatility trading, but is also involved in the management of additional strategies including tail and long volatility portfolios across asset classes, and relative value strategies involving single stocks. Prior to Argentière, Nicolas was a member of the Global Equities Proprietary Trading Group at JP Morgan from 2011 until 2013. Previously, Nicolas was a manager at Bain & Company, where he worked for 9 years, serving a wide range of clients mainly in Europe and Japan focusing on corporate strategy, restructuring/turnarounds and M&A (for corporates and Private Equity). Nicolas received his Masters in Mathematics from the Swiss Federal Institute of Technology in 2001.