Vice President - Portfolio Manager at Morgan Stanley Investment Management
New York, NY
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Mar 2020 - Apr 2021
Vice President - Morgan Stanley Investment Management
Oct 2019 - Feb 2020
Head of Strategy and Research
Responsible for alpha generation, portfolio risk optimization, and liquidity provision in the institutional and retail cryptocurrency lending books.
Jun 2016 - Jul 2019
AQR Capital Management
Vice President - Volatility and Merger Arbitrage Trading
Head trader for AQR volatility strategies and CNH merger arbitrage portfolio consisting of ~$7B in aggregate exposure. Responsible for strategy optimization, trade generation, and execution. Traded >$20B notional annually in US and Europe for systematic and quantitative strategies.
Apr 2015 - May 2016
Bluefin Trading LLC
VIX Derivatives Portfolio Manager
Trader and market-maker in VIX and related indexes and ETFs with particular focus on relative value trades across the volatility surface driven by analytic relationships between products.
Jul 2012 - Jan 2015
PEAK6 Investments LP
VIX and volatility ETP options trader. Developed and managed a statistical arbitrage and premium extraction portfolio.
May 2011 - Aug 2011
Summer rotation within the securities division (PFI, structured credit, and SPG).
Jan 2011 - Feb 2011
FX and Rates Structuring
Jun 2009 - Aug 2009
MATCH Charter Public High Shool
Educational Consultant / Tutor
While at MATCH, my time was divided between tutoring high school students in calculus and chemistry and providing critique and coaching to first-year teachers in the AmeriCorps program.
2009 - 2012
Massachusetts Institute of Technology
Bachelors of Science, Finance
2004 - 2008
Maryville High School