Mike brings in strong knowledge in portfolio management and risk management across asset classes in the hedge fund world, and institutional FX derivatives trading through his experience on the proprietary desks in investment banks early in his career. Mike had previously built and led a quantitative trading team and developed low-latency proprietary trading algorithms as part of a proven and scalable investment process with an annualized return volatility around 10% and double digit returns. Mike holds a master's degree in Finance from the New York University Stern School of Business and Hong Kong University of Science and Technology. Mike oversees Prism Capital & Coinful Capital Fund's trading team and assists in the design of the risk management software and trading infrastructure.
• Experienced in managing risk capital across multiple asset classes- FX, rates, commodities, and derivatives (both exchange and OTC)
• Developed proprietary volatility forecasting models and trading algorithms
• Experienced in Fund product design and execution
• Managed a risk premia commodities fund, long only fund with volatility overlay, and total return macro fund.