如何促进股票衍生品业务的发展?

    2018-12-17 15:21:06 来源:财视中国

    嘉宾简介:


    江少坤,纽约州立石溪大学本科,伦萨勒尔工学院硕士,哥伦比亚大学硕士。2000年加入华尔街,在数家投资银行,对冲基金公司,以及公募基金公司研究管理不同类型的量化投资策略。


    曾在路博迈集团,及其前身雷曼兄弟资产管理公司量化投资部任职近10年,历任资深副总裁,全球宏观基金经理;2015年底回国后任某公募基金公司量化投资部,FOF投资部总监,及其海外关系企业(香港)4,9号牌照责任官(Responsible Officer)。现任鹏扬基金管理有限公司量化投资总监,多资产策略部总监。

     

    Jiang,Shaokun


    Head of Quantitative and Multi Asset Strategies Group, joined Pengyang Asset Management Company in March 2018.  His primary responsibility is to build quantitative and multi asset capabilities for the firm. Prior to joining Pengyang, he was head of quantitative investment group and head of fund of fund investment group with another mutual fund company. Before returning to Asia, shaokun was Senior Vice President and Global Macro Portfolio Manager with Quantitative Investment Group of Neuberger Berman and Lehman Brothers Asset Management for 10 years. He started his career with Jefferies & Company as an analyst in 2000.


    Shaokun Received his graduate degree from Columbia University and Rensselaer Polytechnic Institute, and undergraduate degree from Stony Brook University.