Carl Mason

Senior Risk Analyst at Centiva Capital

Carl Mason has over 25 years of experience in the financial industry. Carl currently holds the position of Senior Risk Analyst at Centiva Capital since December 2022. Prior to this, they worked at Wells Fargo as a Senior Market Risk Officer from November 2014 to December 2022. Before that, they were employed at UBS as a Quantitative Strategist -- Equity Derivatives from July 2010 to May 2014. Carl also held the role of Head of Equity Derivatives Strategy, Americas at BNP Paribas from 2008 to 2010, where they managed junior strategists and developed cross-asset strategies. Carl has also worked at Morgan Stanley as an Equity Derivatives Strategist from 2006 to 2008, and at Deutsche Bank as an Equity Derivatives Strategist from 2003 to 2006. Carl started their career at UBS in 1995 as an IT Developer (Rates) and Equity Derivatives Strategist, where they provided analytical tools for Treasury Bonds Sales and Trading and generated trade ideas for equity derivatives clients.

Carl Mason attended the University of Bristol from 1988 to 1991, where they obtained a Bachelor of Science (BSc) degree in Physics. Carl then continued their education at the same institution, completing a PhD in Physics from 1991 to 1995.

Links

Previous companies

Deutsche Bank logo
BNP Paribas logo
UBS logo
Morgan Stanley logo

Org chart

Timeline

  • Senior Risk Analyst

    December, 2022 - present