David Robertson, CFA, currently serves as a Macro Investment Analyst at Moore Capital Management, a position held since April 2023. Prior experience includes roles at UBS as Director of Fixed Income Asset Allocation, Southern Ridges Capital as Portfolio Manager, and Barclays Investment Bank as Vice President of FX/Macro Trading. Earlier in the career, David held multiple positions at Morgan Stanley, including Vice President of FXEM Macro Trading and significant roles in Foreign Exchange Spot and Options Trading. Educational qualifications consist of a Master of Public Administration in International Finance and Economic Policy from Columbia University and a Bachelor of Arts in Political Economy and Development with a focus on International Relations from Brown University.
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