Kris Gjini

Senior Quantitative Strategist at Balyasny Asset Management

Kris Gjini, CFA, is a Senior Quantitative Strategist at Balyasny Asset Management L.P., where responsibilities include semi-systematic FX and FX volatility strategies since January 2022. Prior to this role, Kris held positions as a Macro Quantitative Strategist and Cross Asset Strategist at BNP Paribas from August 2017 to December 2021, and completed an internship in Structured Finance at Natixis from September 2016 to July 2017. Educational qualifications include an MSc in Data Science and Machine Learning from UCL, an MSc in Finance and Econometrics from the University of Kent, and a BSc in Financial Economics with Econometrics from the University of Kent.

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