Summary
Financial Economist with over 20 years of investment experience across all asset classes. He has worked as a sell-side derivatives researcher and trader on one of London’s largest trading floors, and as a structurer and portfolio manager for the buy-side in Switzerland. As head of Quantitative Strategy at an Asian WealthTech company, Gaudi and his team designed over 50 distinct investment strategies for institutional clients in Australasia.
Gaudi’s analysis follows a scientific approach based on empirical research and quantitative evidence.
Areas of Expertise
Primary Asset Class:
Equities
Geography:
Asia Pacific
Countries:
(generalist)
Sectors:
(generalist)
Content Verticals:
Equity Derivatives
Work Experience:
- Merrill Lynch - Global Derivatives Analyst // Trader
- Merrill Lynch - Derivatives Trader
- UBS Global Asset Management - Portfolio Manager
- Swiss Private Banks - Structurer
- Quantifeed - Quantitative Strategist
- Max Alpha Asset Management - Chief Scientist