David Harris currently serves as an Associate Portfolio Manager and Macro Analyst at Schonfeld since November 2023. Prior to this role, David was an Investment Analyst at Balyasny Asset Management L.P. from September 2021 to November 2023, and an Analyst at Morgan Stanley from March 2018 to September 2021, where responsibilities included quantitative investment strategies and interest rates research. Earlier experience includes a Summer Analyst position in Fixed Income Research at Morgan Stanley, a Summer Analyst role at Onemain Financial where a Cost of Subprime Credit Tracker was developed, and a Quantitative Analysis Internship at Northwestern Mutual focused on sales performance prediction. David began a career in finance with a Fund Management Internship at SSARIS Advisors, LLC. Educational credentials include a Bachelor of Arts in Economics from the University of Pennsylvania, obtained in 2018.
This person is not in the org chart
This person is not in any teams
This person is not in any offices