Thomas Shevlin, CFA
Senior Investment Manager
Considerable accomplishments in Buy-Side, Top-Down Global Macro Asset Allocation, Portfolio Management, and Foreign Exchange. Record of strong returns coupled with thorough and effective risk management. Create numerous quantitative models to identify and analyze trades, value assets, allocate across asset classes, understand risk, and construct portfolios. Comprehensive and disciplined approach to investment decision making. Solid foundational experience in Economics with insider’s perspective on Central Banks and Governments. CFA, Certification in Financial Risk Management, Masters in Economics.