Vishweshwar has over 20 years of experience in Asia Pacific financial markets with top-notch organizations. Most recently, he was heading Goldman Sachs’ Asia FICC Macro Sales Business in Hong Kong and was responsible for building a strong Asian franchise, advising Hedge Funds and other Institutional clients on macro trading opportunities. He started his career trading FX, Rates & Bonds back in India and has close to 10 years each of Trading and Sales/Advisory experience in Asian Fixed Income & FX Markets.
He is a Chartered Acct. & Cost Acct. from India & a Gold Medalist in Financial Management.
William is a strong old-school directional macro trader with over 22 years of trading experience in Asian Financial Markets, the last 11 of which were with Goldman Sachs in Hong Kong where he was heading Greater China Rates & FX trading. He helped build a strong presence despite its limited local access with his macro trading acumen developed over various market events from the Asian Financial crisis & LTCM through to Global Financial Crisis. His key strengths include out-performance across various market conditions especially thematic macro markets & crisis.
He is Bachelor of Science in Economics & Accounting from University of Bristol.
Michael has over three decades years of professional experience with more than 20 years in financial services, including more than10 years as the COO/CFO/CRO. Most recently, he was the CRO for Millennium in Hong Kong as well as the COO for APG in Asia.
He is an Expert Programmer in VBA, proficient in C++ & has built strong quant risk architecture. He has managed a broad spectrum of complex alternative investment strategies & jurisdictions and carries a deep understanding of governance, business structuring, compliance and operational risk.
He is a Registered Professional Engineer, a Chartered Financial Analyst, a Bachelor and Masters Degree in Engineering, a Thunderbird MBA and a PhD in Statistics from HK University.
Anthony is a quantitative developer who has solid and systematic training in financial engineering, economics, finance and statistics. He has a postgraduate degree in financial mathematics, a PhD in economics and is an experienced programmer in Fortran, C++, Java, Python, Matlab, R, etc.
He is a certified FRM (Financial Risk Manager)
Neil is an operations analyst with experience in reporting & monitoring. He graduated with a Masters in Economics from The University of Hong Kong.