David Owen is a trading specialist currently serving as the Head of Quantitative Portfolio Management - Investment and Execution at UBS. Owen has extensive experience in front office trading and has been instrumental in founding and managing various trading desks, including the OTC CTD Collateral Trading desk. Previously, Owen held roles such as Global Head of Collateral Optimisation and EMEA Portfolio Manager, overseeing revenue generation and investment risk across multiple asset classes. With a strong focus on quantitative strategies, Owen excels in optimizing trading processes and enhancing portfolio management.
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