Gerett Blouin, CFA
Director, Investment Risk Management Group
Summary
Location:
Ft. Lauderdale, Florida, United States

Gerett Blouin, CFA is a Director in the Investment Risk Management Group at Franklin Templeton with 15 years of experience in risk management and over 20 years in buy-side asset management. He currently leads risk teams covering Global Macro, Global Fixed Income, Emerging Markets, and Non-U.S. Local Markets Fixed Income, focusing on market, liquidity, and portfolio construction risks.
Since joining Franklin Templeton in 2006, Mr. Blouin has played a key role in developing the firm's investment risk framework, enhancing portfolio oversight, and implementing risk analytics to support investment decision-making. He spent three years on the investment desk in Franklin Templeton's London office, deepening his expertise in global markets and portfolio risk dynamics. He has extensive experience leveraging technology and data-driven insights to improve risk transparency and governance across global portfolios.
Prior to joining Franklin Templeton, Mr. Blouin worked as a Portfolio Analyst at Morgan Stanley.
Mr. Blouin holds a B.S. in Finance and a B.S. in Management Information Systems from The Florida State University. He is a Chartered Financial Analyst (CFA) charterholder.
