JG

Jack G.

Macro & RV Portfolio Manager | G10 Rates, FX, and Cross-Currency Basis

Jack G. is a seasoned finance professional with extensive experience in macro and relative value portfolio management, primarily focusing on G10 rates, FX, and cross-currency basis. They hold a Bachelor of Agricultural Economics (Hons) with majors in Finance and Economics from the University of Sydney, completing their degree in 2008. Jack began their career as a Research Writer at Shaw and Partners Limited before progressing through various roles, including G10 Rates Trading at Rabobank International and Director of G10 FX & STIR Trading at HSBC Global Banking and Markets. Currently, they serve as a Macro & RV Portfolio Manager at Astignes Capital while also being involved with Segantii Capital Management and Schonfeld.

Location

United Arab Emirates

Links


Org chart

This person is not in the org chart


Teams

This person is not in any teams


Offices

This person is not in any offices