Chris Fuligni is a seasoned finance professional with extensive experience in portfolio management and derivatives quantitative analysis across various leading firms. Currently serving as a Portfolio Manager and Derivatives Quantitative Analyst at Schonfeld since April 2023, Fuligni manages derivatives portfolios in multiple markets, focusing on complex portfolio construction and risk mitigation strategies. Previous roles include FX Option Trading at Credit Suisse, where Fuligni enhanced option risk management systems, and Global Macro Portfolio Manager at Hutchin Hill Capital, which involved developing a discretionary macro portfolio. Additional experience spans positions in FX option trading and sales at major financial institutions such as CIBC Capital Markets, Bracebridge Capital, and NatWest, complemented by a strong educational background from Cornell University, the University of Florida, and The Wharton School.
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