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Mark Birmingham Location
Boston, MA, US
Mark Birmingham Work
2013 -now SVP, Lead Portfolio Manager, Managed Volatility @
2006 -2013 Vice President and Quantitative Analyst, Quantitative Investment Group @
2003 -2006 Director, U.S. Equity Sales and Trading @
2000 -2003 Vice President and Trading Strategist @
1998 -2000 Associate, Process Driven Trading (PDT) @
1998 -1998 Strategist, Equity Derivatives Group @ LTCM
1995 -1996 Systems Associate @
Mark Birmingham Education
Princeton University 1991-1995
Mark Birmingham Skills
Investment Management
Quantitative Research
Quantitative Investment Strategies
Asset Management
Equities
Hedge Funds
Fixed Income
Derivatives
Portfolio Management
Alternative Investments
Bloomberg
Trading Systems
Investments
Capital Markets
Asset Allocation
Mark Birmingham Summary
Mark Birmingham, based in Boston, MA, US, is currently a SVP, Lead Portfolio Manager, Managed Volatility at Acadian Asset Management. Mark Birmingham brings experience from previous roles at Wellington Management Co., Nomura Securities International, Inc., ITG and Morgan Stanley. Mark Birmingham holds a 1991 - 1995 Princeton University. With a robust skill set that includes Investment Management, Quantitative Research, Quantitative Investment Strategies, Asset Management, Equities and more. Mark Birmingham has 2 emails and 2 mobile phone numbers on RocketReach.
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