JP

Jon Poynter

Quantitative Portfolio Manager at Harbor Capital Advisors, Inc.

Jon Poynter, CFA, currently serves as a Quantitative Portfolio Manager at Harbor Capital Advisors, Inc., a position held since June 2022. Prior to this role, Jon Poynter worked at J.P. Morgan Asset Management as a Manager Selection Quantitative Investment Research specialist from November 2016 to May 2022, focusing on various quantitative and strategic beta investment strategies. Earlier experience includes a position as a Quantitative Market Risk professional at Morgan Stanley, where tools and methodologies for Market Risk calculations were developed and implemented, and as an Investment Analyst at McKinsey & Company, collaborating with Fund and Risk Managers on operational improvements. Jon Poynter began a career in finance as a Fixed Income Analyst at KBW, analyzing client portfolios. Academic qualifications include a Ph.D. in Chemistry from the University of Bristol and an MBA from Rutgers University–Newark.

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