MS

Mark Sztuden

Portfolio Manager, Discretionary FX Volatility at Squarepoint Capital

Mark Sztuden is an accomplished finance professional with extensive experience in foreign exchange options trading and portfolio management. Currently serving as a Portfolio Manager for Discretionary FX Volatility at Squarepoint Capital since July 2023, Mark has a robust background that includes over a decade at Société Générale as Director of Emerging Markets FX Options Trading and previous roles at Nomura, Lehman Brothers, and Deutsche Bank. Mark began their career as an Engineer in Digital Signal Processing at Comverse Technology, Inc. Mark holds a dual degree in MBA and MS in Computational Finance from Carnegie Mellon University's Tepper School of Business, as well as a BS in Electrical Engineering from the Technion - Israel Institute of Technology.

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London, United Kingdom

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Squarepoint Capital

21 followers

Squarepoint Capital is a leading global investment management firm that develops quantitative investment strategies.


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201-500

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