DC

Daniel Cheeseman

Director, Portfolio Manager at Guggenheim Partners

Daniel Cheeseman is a seasoned finance professional currently serving as a Director and Portfolio Manager at Guggenheim Partners since November 2011. In this role, Daniel is responsible for overseeing the research and management of systematic, quantitative models for the firm's equity volatility and cross-asset risk premia funds. Previously, Daniel held the position of Vice President in both Equity Derivatives Strategy at Morgan Stanley and Equity Derivatives Research at Merrill Lynch. Daniel's educational background includes a Master of Science in Mathematical Finance from NYU's Courant Institute and a Dual Bachelor of Arts in Applied Mathematics and Economics from UC San Diego.

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