David Belmont, CFA
Quantitative international risk and investment management expert with over 15 years risk management experience across Hedge Funds, Fund of Funds, Sovereign Wealth Funds, Investment Banking, Commercial Banking, Private Equity, and Venture Capital. Experience protecting investment portfolios through numerous market and credit crises. Skilled communicator with ability to develop, manage, and integrate risk management functions with risk taking functions to influence decision making and improve performance. The geographic spread of experience and current responsibilities extend from Europe, to North America, South America and Asia.