Barry Schachter is a highly qualified expert, that works in Cinctive Capital on the position of Chief Risk Officer from 2019. This expert gained professional experience in more than 19 positions at various companies. Barry Schachter went to the Cornell University and was studying from 1976 to 1982. This person has such qualifications as Series 3. New York, New York is the city, where the professional was lastly known to live. This expert's email address and number can be easily accessed through Connexy by request.
Name variants:
Barrett Schachter
Contact Information
Last Update
Jul 4, 2022
Email
ba**@yahoo.com
Location
New York, NY
Company
Cinctive Capital
Workplace
Chief Risk Officer
Work History
Founding Partner and Chief Risk Officer
Designed and implemented all aspects of Risk Management structure. Management Committee. CRO. Global Macro hedge fund.
Aug 2016 — Apr 2018
Head of Risk Management
Design and implement risk management framework for multi-manager, multi-strategy, long-short equity-focused fund. Design and implement risk capital allocation model. Active in Portfolio Mana...
Sep 2013 — Dec 2015
Risk Management Consultant, Blogger, Writer, Speaker
On risk management issues. Recent consulting on modeling-related litigation, UCITS 4 risk model reviews, and risk management function analysis and strategic planning.
Jul 2012 — Sep 2013
Senior Advisor
As a member of the Scientific Advisory Board, providing input on development of new risk metrics and analytics.
from Feb 2013
Director of Risk Management
Head of risk management; member of management committee
Oct 1, 2002 — Jun 1, 2004
Financial Economist, Risk Analysis Division
Oct 1, 1994 — Jan 1, 1997
Economist and Acting Head of Economic Research
Jul 1, 1990 — Oct 1, 1994
Assistant and Assoc Professor of Finance and Economics
Sep 1, 1982 — Jun 1, 1988
Education
1976 — 1982
1972 — 1976
Occupations
Executive
Chief Risk Officer
Partner
Chief Revenue Officer
Chief Executive
Skills
Risk Management
Market Risk
Hedge Funds
Risk
Risk Analysis
Asset Management
Asset Managment
Financial Risk
Quantitative Analytics
Fixed Income
Interest Rate Derivatives
Finance
Banking
Capital Markets
Derivatives
Financial Markets
Quantitative Finance
Basel Ii
Bloomberg
Economics
Financial Modeling
Trading Systems
Equities
Investments
Options
Investment Banking
Portfolio Management
Fx Options
Emerging Markets
Credit Risk
Alternative Investments