Gary Soderlund is a seasoned finance professional with extensive experience in portfolio management and trading, currently serving as a Senior Portfolio Manager at LCH since November 2012, where responsibilities include managing USD margin and default fund portfolios and planning for collateral liquidation. Prior experience includes serving as Vice President and Repo Trader at MF Global Inc from September 2006 to November 2011, where Gary built a matched book of mortgage-backed securities, and held a similar role at Nomura Securities International Inc from July 1986 to July 2006. Gary's career began at Prudential-Bache Securities as an Operations Clerk in 1985. Soderlund holds a Bachelor's degree in Business Administration and Political Science from Ramapo College of New Jersey.
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