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Dr Ryan Lemand

Chairman of the Board

Dr Ryan Lemand is the Co-Founder and Chief Executive Officer of Neovision Wealth Management, an ADGM-regulated financial services firm, where he leads the firm’s strategic direction and oversees operations across asset management and advisory services.

Dr Ryan is currently registered with the Financial Services Regulatory Authority (FSRA) in the Abu Dhabi Global Market as a Licensed Director and Responsible Person. He is also an approved person with the Capital Market Authority (CMA) in Saudi Arabia, the Securities and Futures Commission (SFC) in Hong Kong, the Monetary Authority of Singapore (MAS), and the French financial regulator (AMF). He supports a number of boards and financial institutions in advisory and non-executive capacities across ADGM, VARA, the Cayman Islands, and internationally.

Dr Ryan has over 20 years’ experience in financial services and regulation, having worked at the Emirates Securities & Commodities Authority (SCA) in the UAE, where he served as Senior Advisor and Head of Risk Management. He has also held senior investment roles in Europe, including as Lead Portfolio Manager at Fortis Investments, where he managed a €14.6 billion portfolio in credit derivatives across mutual and hedge funds. His regulatory experience covers asset management, funds, securities, and capital markets across multiple jurisdictions.

He holds a PhD in Financial Econometrics (summa cum laude) from the École Normale Supérieure in France. He is the author of two books on financial contagion and several academic research papers in financial correlation. Dr Ryan is trilingual in English, French, and Arabic.

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Dr Ryan Lemand

Chairman of the Board

Dr Ryan Lemand is the Co-Founder and Chief Executive Officer of Neovision Wealth Management, an ADGM-regulated financial services firm, where he leads the firm’s strategic direction and oversees operations across asset management and advisory services.

Dr Ryan is currently registered with the Financial Services Regulatory Authority (FSRA) in the Abu Dhabi Global Market as a Licensed Director and Responsible Person. He is also an approved person with the Capital Market Authority (CMA) in Saudi Arabia, the Securities and Futures Commission (SFC) in Hong Kong, the Monetary Authority of Singapore (MAS), and the French financial regulator (AMF). He supports a number of boards and financial institutions in advisory and non-executive capacities across ADGM, VARA, the Cayman Islands, and internationally.

Dr Ryan has over 20 years’ experience in financial services and regulation, having worked at the Emirates Securities & Commodities Authority (SCA) in the UAE, where he served as Senior Advisor and Head of Risk Management. He has also held senior investment roles in Europe, including as Lead Portfolio Manager at Fortis Investments, where he managed a €14.6 billion portfolio in credit derivatives across mutual and hedge funds. His regulatory experience covers asset management, funds, securities, and capital markets across multiple jurisdictions.

He holds a PhD in Financial Econometrics (summa cum laude) from the École Normale Supérieure in France. He is the author of two books on financial contagion and several academic research papers in financial correlation. Dr Ryan is trilingual in English, French, and Arabic.

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