Mark Cassin is an experienced trader at Capula Investment Management LLP, where since June 2009, strategies in credit derivatives for RV and Tail funds have been developed and executed, alongside trading peripheral bonds, futures, FRAs, IRS, and Xccy basis, while managing an individual portfolio. Prior to this role, Mark served as a risk manager and junior trader at KBC Financial Products from 2007 to 2009. Mark holds a Master of Arts in Statistics from Harvard University and a Bachelor's degree in Actuarial Science from The London School of Economics and Political Science.
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