About
I am a seasoned investment professional with decades of experience in portfolio management, quantitative research, and investment strategy development. I have a strong track record of delivering analytical insights, solving problems creatively, and designing and building new offerings and ...
more
About
I am a seasoned investment professional with decades of experience in portfolio management, quantitative research, and investment strategy development. I have a strong track record of delivering analytical insights, solving problems creatively, and designing and building new offerings and capabilities in the equity and equity options markets. That comes with extensive experience across the investment process, spanning strategy research and development, portfolio and risk management, technology development, trade execution, and product development.
Most recently, I was a Senior Analyst at Balyasny Asset Management L.P., where I joined with a partner of Auxano Capital to continue developing a long volatility strategy within an institutional context. Prior to that, I was a Partner, Co-Portfolio Manager and COO at Auxano Capital, an emerging manager developing a fundamental equity strategy using options on individual stocks. I was also a Portfolio Manager and Quant Systematic Research Lead at William Blair, where I built and led a quantitative team managing a global equity investment platform covering international and emerging markets.
I am passionate about investing, and I have a keen interest in the intersection of R and finance especially among the open source community. I enjoy exploring new ideas, methods, data, and technology, and communicating complex topics to a non-technical audience. I am pragmatic and decisive, but always with integrity.
less