Richard Guay has extensive experience in financial risk management and portfolio management. He is a professor in the Department of Finance at ESG UQAM since 2010.
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Professor of finance at HEC Montréal from 1989 to 1995, Richard Guay continued his career at the Caisse de dépôt et placement du Québec. He has held a variety of senior executive positions, including President and Chief Executive Officer, Chief Investment Officer and Senior Vice President, Risk Management and Deposit Account Management for the past 14 years. . Before being hired by ESG UQAM, Mr. Guay acted as strategic advisor to the President of the CDPQ. Author and co-author of specialized publications in finance, Mr. Guay has been a guest speaker at some thirty conferences on portfolio management and financial risk management, both in Quebec and abroad. He also acted as a trainer at the Montreal Association of Financial Analysts (CFA Montréal), the Montreal Exchange and the Canadian Securities Institute.
Richard Guay holds a Ph.D. in Financial Economics and a Masters in Economics from Queen's University, Ontario. He also holds a master's degree in finance from HEC Montréal and the professional title of Chartered Financial Analyst (CFA)