SB

Stan B.

Risk Management at Mesarete Capital

Stan B. has over 18 years of experience in quantitative analysis and risk management within the finance sector. Currently serving in a risk management role at Mesarete Capital since May 2021, Stan previously held positions as a quantitative analyst focusing on credit and derivatives at Millennium and Finisterre Capital, where extensive expertise in corporate bonds, scenario analysis, and portfolio construction was developed. Stan's earlier career includes fundamental research analysis at Cube Capital, and credit trading roles at Barclays Investment Bank and Lehman Brothers, specializing in high yield and emerging markets. Stan holds an MBA in Finance and Economics from the University of Chicago.

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