Summary
Ex-Portfolio Manager with over 25 years of derivatives experience across products and geographies. Specializing in all things Vol - Relative Value volatility trading, Cross-Asset volatility strategies and event handicapping and trading. Develops own proprietary trading tools and analysis.
Previously: Options Specialist and Market Maker at BMO, Managing Director Global Equity Derivatives at TDS. Most recently, Portfolio Manager of volatility portfolio at Polar Aset Management Partners (> $USD 7 billion multi-strategy hedge fund) focusing on cross-asset relative value volatility and derivative fund overlays.
Areas of Expertise
Primary Asset Class:
Equities
Geography:
Asia Pacific
Countries:
(generalist)
Sectors:
(generalist)
Content Verticals:
Equity Derivatives
Work Experience:
- Polar Asset Management Partners - Portfolio Manager
- Clifton Capital Management - CEO and Founder
- TDS - Managing Director, Global Equities Derivatives
- BMO - Options Specialist and Market Maker