Nicholas Howe

Portfolio Manager at Symmetry Investments

Nicholas Howe, CFA, currently serves as Portfolio Manager at Symmetry Investments since November 2018, focusing on macro and micro fixed income relative value opportunities within the G6 rates space. Prior to this role, Nicholas was with Barclays Investment Bank, where from July 2013 to July 2019, positions included Assistant Vice President in Sterling Rates Trading and Assistant Vice President in Index, Portfolio & Risk Solutions. Responsibilities encompassed market making for sterling interest rate swaps, trade idea generation utilizing quantitative methods, client performance attribution, and the development of portfolio risk modeling solutions. Nicholas began the career as an intern in Systematic Strategies Research at Barclays Capital in June 2012. Nicholas holds an MSci in Chemistry from the University of Cambridge, achieved from 2009 to 2013, and completed A-levels at Abingdon School from 2002 to 2009.

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