Todd Jones

Risk Analyst at DV Trading

Todd Jones has a diverse work experience spanning over three decades. Todd began their career at Group One Trading, LP in 1993, where they worked as a Senior Market Maker, specializing in trading and expanding the specialist post for the company on the AMEX. Todd remained with Group One Trading until 2001.

Following their tenure at Group One Trading, Todd joined Consolidated Trading LLC in 2002 as a Market Maker. During their time there, they helped establish a small NDX group and managed a team of four traders.

In 2004, Todd moved on to Wellington Capital LLC, where they worked as an Independent Market Maker and Trader. Todd remained in this role until 2006.

From 2006 to 2012, Todd worked at Ronin Capital, where they held two roles. Initially, they served as a Market Maker and Manager for the Index Group, overseeing trade operations and leading a team of five traders. Later on, they became a Co-Manager and Head Trader for the Index Options Group, working closely with a partner to optimize results and mentor staff.

In 2013, Todd joined Pearson Capital LLC as a Trader and Consultant, specializing in closed end Muni Bond funds. Todd devised pairs trades and implemented a proprietary algorithmic trading system. Unfortunately, the company shut down due to a lack of capital by FINRA.

Todd then joined DressanderBHC in 2014 as a Marketing Consultant and Wholesaler. Todd primarily focused on positioning fixed indexed annuities within clients' portfolios to maximize retirement income and minimize risk. Todd worked there until 2016.

From 2016 to 2019, Todd worked at SBC Capital LLC as a Derivatives and Event Trader in India. Todd traded futures options on individual equities and managed risk using a volatility-based event-driven system.

Most recently, Todd joined DV Trading LLC in 2019 as a Risk Analyst, though the end date is not mentioned.

Todd Jones has studied Business Administration, Management, and Operations at Kent State University. Todd obtained a securities license, specifically the Securities License Series 7, from FINRA (Financial Industry Regulatory Authority) in June 2015.

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Timeline

  • Risk Analyst

    May, 2019 - present