Gavin Levy, FRM, currently holds the position of Market Risk Analyst at Six One Commodities, where responsibilities include conducting detailed trade-level risk analysis for various commodities, including natural gas and LNG, with a focus on both physical and financial instruments. Previously, Gavin completed a rotational analyst program in Operations, Market Risk, and Credit Risk. Experience also includes serving as an Equity Analyst for the UConn Student Managed Fund, managing a $1 million investment portfolio and employing various risk management and financial evaluation techniques. Additional experience spans over a decade at AT&T, where Gavin held roles such as Sales Manager and Sales Program Execution Lead, focusing on sales management and operational improvements. Educational achievements include a Master's in Financial Risk Management and an MBA in Finance from the University of Connecticut, along with a Bachelor of Science in Business Administration from Post University.
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