Profil
Christopher John Buonafede is the founder of Peace Bridge Partners LP, which was founded in 2017.
He held the title of Portfolio Manager from 2017 to 2020.
Mr. Buonafede's former jobs include Managing Director at Sculptor Capital LP and Portfolio Manager at Hutchin Hill Capital LP.
Mr. Buonafede's education history includes an MBA from the State University of New York at Buffalo in 1996 and an undergraduate degree from The Leonard N Stern School of Business in 1992.
Anciens postes connus de Christopher John Buonafede
| Sociétés | Poste | Fin |
|---|---|---|
Peace Bridge Partners LP
Peace Bridge Partners LP Investment ManagersFinance PBP employs a long-short equity investment strategy. In making investment selections, the firm employs both bottom-up and top-down analysis. Their investments tend to focus on equities across all market-caps with emphasis on the US financial and consumer goods/services sectors. | Directeur Général | 01/01/2020 |
Hutchin Hill Capital LP
Hutchin Hill Capital LP Investment ManagersFinance Hutchin Hill Capital employs a systematic, process-driven approach to investing in an array of highly-liquid asset classes and markets. Their investment approach includes both quantitative and fundamental strategies. Hutchin Hill Capital generally allocates capital across a broad and diverse array of strategic opportunities. The firm's Core strategies include Global Equities, Fundamental Long/Short Credit, Global Macro and, Systematic & Quantitative. They also offer a strategy that includes a custom convexity hedging program for the overall Diversified Alpha Master Fund that seeks to serve as a defense against major market dislocations, tail events and other risks not hedged within each of the four Core strategies. Hutchin Hill focuses on strategies that purchase and sell liquidly-traded instruments for which there is a generally active market (although the Diversified Alpha Master Fund may trade in illiquid instruments or markets that are not generally active). The firm purchases and sells a broad array of instruments within their strategies across a variety of asset classes using cash instruments and over-the counter derivatives and including equities, fixed income/interest rates, corporate credit, currencies, and other instruments. Equity investments may include common stock and listed options on US and non-US corporations, and equity equivalent instruments such as total return swaps, CFDs and various futures and options. Interest rate investments may include US treasuries and other government bonds and bond futures and options, interest rate swaps, swaptions, and deposit rate futures and options. Corporate credit investments may cash bonds, credit default swaps referencing single issuers, and credit default swaps related to credit indices (such as the CDX and iTraxx) and other fixed income securities. Currency transactions may include currency spot and forward transactions, NDFs, futures and options. The firm also invests in commodity futures, options, and swaps; and other instruments, including ETFs and derivatives, such as variance swaps and volatility swaps. | Gestionnaire de Portefeuille-Actions | - |
Sculptor Capital LP
Sculptor Capital LP Investment ManagersFinance Sculptor Capital seeks to generate attractive risk-adjusted returns across market cycles and provides a range of products across multi-strategies, credit, and real estate. The firm conducts due diligence based on the facts and circumstances applicable to each investment and evaluates potential investments. | Analyst-Equity | 31/12/2009 |
Formation de Christopher John Buonafede
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Sociétés cotées
Entreprise privées
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Relations au 1er degré
Entreprises liées au 1er degré
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| Entreprise privées | 5 |
|---|---|
Sculptor Capital LP
Sculptor Capital LP Investment ManagersFinance Sculptor Capital seeks to generate attractive risk-adjusted returns across market cycles and provides a range of products across multi-strategies, credit, and real estate. The firm conducts due diligence based on the facts and circumstances applicable to each investment and evaluates potential investments. | Finance |
State University of New York at Buffalo
State University of New York at Buffalo Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
Hutchin Hill Capital LP
Hutchin Hill Capital LP Investment ManagersFinance Hutchin Hill Capital employs a systematic, process-driven approach to investing in an array of highly-liquid asset classes and markets. Their investment approach includes both quantitative and fundamental strategies. Hutchin Hill Capital generally allocates capital across a broad and diverse array of strategic opportunities. The firm's Core strategies include Global Equities, Fundamental Long/Short Credit, Global Macro and, Systematic & Quantitative. They also offer a strategy that includes a custom convexity hedging program for the overall Diversified Alpha Master Fund that seeks to serve as a defense against major market dislocations, tail events and other risks not hedged within each of the four Core strategies. Hutchin Hill focuses on strategies that purchase and sell liquidly-traded instruments for which there is a generally active market (although the Diversified Alpha Master Fund may trade in illiquid instruments or markets that are not generally active). The firm purchases and sells a broad array of instruments within their strategies across a variety of asset classes using cash instruments and over-the counter derivatives and including equities, fixed income/interest rates, corporate credit, currencies, and other instruments. Equity investments may include common stock and listed options on US and non-US corporations, and equity equivalent instruments such as total return swaps, CFDs and various futures and options. Interest rate investments may include US treasuries and other government bonds and bond futures and options, interest rate swaps, swaptions, and deposit rate futures and options. Corporate credit investments may cash bonds, credit default swaps referencing single issuers, and credit default swaps related to credit indices (such as the CDX and iTraxx) and other fixed income securities. Currency transactions may include currency spot and forward transactions, NDFs, futures and options. The firm also invests in commodity futures, options, and swaps; and other instruments, including ETFs and derivatives, such as variance swaps and volatility swaps. | Finance |
The Leonard N Stern School of Business
The Leonard N Stern School of Business Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
Peace Bridge Partners LP
Peace Bridge Partners LP Investment ManagersFinance PBP employs a long-short equity investment strategy. In making investment selections, the firm employs both bottom-up and top-down analysis. Their investments tend to focus on equities across all market-caps with emphasis on the US financial and consumer goods/services sectors. | Finance |
















