George G. Namur

Male, 58 years old

george namur
Financial executive with year broad experience in all aspects of financial markets across asset classes, from equities to fixed income to commodities to currencies, and across roles, from trading to wealth and portfolio management to structuring to advising to risk management. Dr. Namur specializes in derivatives which he uses in his investing to skew portfolio risk-reward characteristics. His investment strategy is based on a combination of fundamental analysis to identify secular trends technical analysis to help with tactical position sizing and rebalancing, as well as sentiment analysis that helps identify meaningful changes in trend. Specialties Specialize in alternative investment management, with a focus on Global Macro Themes, notably fixed income (rates and credit), equities, foreign exchange, and commodities, especially energy. Use of various derivatives, particularly options, to manage portfolio riskreward profile and optimally leverage with minimal margin use. Developed options-based algorithm to scale up leverage without the use of margin. Uses front office risk management as part of the investment process, independently of the middle office risk management function. read more ...
  • travel
  • real estate
  • movies
  • beaches
  • foundation
  • gas
  • research
  • investments
  • geopolitics
  • University Of Michigan
  • American University Of Beirut
  • Founder
  • American University Of Beirut
  • Summer Associate At Jpmorgan Chase

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