Our Team
Fabrice Fiol
Managing Director
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Fabrice Fiol
Managing Director
Fabrice Fiol is a Managing Director at Blue Owl and member of the Insurance Solutions Investment Team. In his role, Fabrice focuses on leading the Blue Owl Insurance Solutions Risk Management Team.
Prior to joining Blue Owl, Fabrice was Head of Risk Management at Kuvare Asset Management, predecessor to Blue Owl Insurance Solutions, where he was also a Managing Director and member of KAM Management Committee. Prior to joining Kuvare Asset Management, Fabrice was a Managing Director and Deputy Head of the Enterprise Risk Management department for Societe Generale Americas, a firm he first joined in 2009. In this capacity, he co-managed a team responsible for risk appetite statement and reporting, risk identification, and governance including regulatory oversight. He was also in charge of U.S. Enterprise Stress Testing. His previous role was within the market risk department where he was responsible for risk oversight of US derivative activities in fixed income, forex, emerging market, credit and equity derivatives. Prior to Societe Generale, Fabrice was a Senior Vice President at Natixis in charge of Risk Management on a U.S Agency RMBS portfolio from 2007 to 2009. Prior to Natixis, he was a Vice President at the reinsurance company Swiss Re where he developed interest rates analytics and subsequently joined the U.S Rates Derivatives Trading Desk.
Fabrice is a lecturer in the Columbia University SPS Enterprise Risk Management Program since 2021. Fabrice graduated with a master’s degree from ENSAE (National School of Statistics and Economics).
Prior to joining Blue Owl, Fabrice was Head of Risk Management at Kuvare Asset Management, predecessor to Blue Owl Insurance Solutions, where he was also a Managing Director and member of KAM Management Committee. Prior to joining Kuvare Asset Management, Fabrice was a Managing Director and Deputy Head of the Enterprise Risk Management department for Societe Generale Americas, a firm he first joined in 2009. In this capacity, he co-managed a team responsible for risk appetite statement and reporting, risk identification, and governance including regulatory oversight. He was also in charge of U.S. Enterprise Stress Testing. His previous role was within the market risk department where he was responsible for risk oversight of US derivative activities in fixed income, forex, emerging market, credit and equity derivatives. Prior to Societe Generale, Fabrice was a Senior Vice President at Natixis in charge of Risk Management on a U.S Agency RMBS portfolio from 2007 to 2009. Prior to Natixis, he was a Vice President at the reinsurance company Swiss Re where he developed interest rates analytics and subsequently joined the U.S Rates Derivatives Trading Desk.
Fabrice is a lecturer in the Columbia University SPS Enterprise Risk Management Program since 2021. Fabrice graduated with a master’s degree from ENSAE (National School of Statistics and Economics).