We found the following information about Jonathan Koerner at Quantbot Technologies Lp, where Jonathan Koerner has worked as a Portfolio Manager since 2016. Jonathan's total work experience is over 13 years, during which time this person had at least six jobs at different places to develop skills. Jonathan Koerner studied at the Columbia University In the City of New York from 1990 to 1991. New York, New York is the place where this expert currently lives. You can contact with Jonathan by looking for phone or email address or get additional information by requesting access to the professional's details from us.
Name variants:
Jon Koerner,
Jonny Koerner
Last updated May 27, 2024
Contact Information
Last Update
Jul 7, 2022
Email
jo**@quantbot.com, ko**@yahoo.com
Location
New York, NY
Company
Workplace

Colleagues
Work History
Managing Partner
Fundamentally Driven Machine Learning Based Quant Fund - Market Neutral/US Equities
from Nov 2013
Managing Director, Structured Credit Origination
555 Theodore Fremd Ave, Rye, NY 10580
Jul 2012 — Oct 2013
Portfolio Manager
Credit Portfolio Manager specializing in US High Yield and Investment Grade Credit index products (Correlation, Volatility, Curve & Basis trades). Applied macro directional credit overlay st...
Jun 2008 — Jan 2012
North American Head of Credit Correlation and Volatility
745 7Th Ave, New York, NY 10019
Managed all risk and was responsible for all PNL related to Barclays North American Credit Derivative Correlation, Volatility and Exotics trading books.
Dec 2004 — Mar 2008
North Amercian Head of Correlation Trading
388 Greenwich St, New York, NY 10013
Managed all risk and was responsible for all PNL related to Citibanks North American Credit Derivative Correlation trading books. Was instrumental in structuring complex transaction to be ho...
Feb 2000 — Nov 2004
Education
1990 — 1991
1984 — 1988
Occupations
Financial Broker
Portfolio Manager
Accountant
Finance and Accounting Specialist
Executive
Managing Partner
Investment Analyst
Financial Analyst
Accounting Bookkeeper
Bookkeeper
Partner
Chief Executive
Skills
Portfolio Management
Trading
Equities
Derivatives
Investments
Hedge Funds
Credit Derivatives
Financial Risk
Capital Markets
Fixed Income
Bonds
Alternative Investments
Credit
Structured Products
Financial Structuring
High Yield
Volatility
Quantitative Finance
Correlation Trading
Quantitative Investing
Quantitative Risk