Lee Copeland is a Portfolio Manager at Moore Capital Management, specializing in relative value volatility trading strategies. Previously, Lee held portfolio management and trading positions at Wolverine Asset Management, Millennium, BlueMountain Capital Management, and Parallax Volatility Advisers. Lee also worked in structured equity derivatives at Lehman Brothers. Lee is currently pursuing a Certificate in Data Science for Finance at Columbia Engineering, an MBA in Applied Investment Management at the University of North Carolina at Chapel Hill, and holds a Bachelor of Arts in Economics from Colgate University.
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