Master Of Business Administration (Marketing, Finance)
2001
-
2002
Brandeis University
Bachelor Of Arts (Legal Studies, American Studies)
1992
-
1996
Max Heitner Skills
Alternative Investments
Hedge Funds
Equities
Equity Research
Bloomberg
Asset Management
Valuation
Portfolio Management
Investments
Securities
Series 7
Financial Modeling
Investment Strategies
Asset Allocation
Risk Analysis
Risk Management
Portfolio Optimization
Portfolio Risk
Portfolio Performance Analysis
Quantitative Research
Equity Derivatives
Equity Research Analysis
factset
Equity Valuation
Investment Management
Mutual Funds
Derivatives
Options
Quantitative Analytics
Financial Analysis
Bloomberg Terminal
Financial Services
ETFs
Quantitative Finance
Technical Analysis
Hedging
Finance
Max Heitner Summary
Max Heitner, based in Wilmette, IL, US, is currently a Managing Director, Risk Management and Research at Driehaus Capital Management. Max Heitner brings experience from previous roles at PEAK6 Asset Management, Magnetar Capital and William Blair and Company. Max Heitner holds a 2001 - 2002 Master Of Business Administration in Marketing, Finance @ Loyola University Chicago. With a robust skill set that includes Alternative Investments, Hedge Funds, Equities, Equity Research, Bloomberg and more. Max Heitner has 2 emails and 1 mobile phone numbers on RocketReach.
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