Profil
Mr. Daniel Danon is a Head of Volatility Portfolio Management at Assenagon Asset Management SA. He handles volatility related to absolute return products.
Before this, he was an equity derivatives trader at Credit Suisse within the Global Arbitrage Trading (GAT) unit.
He was primarily focusing on developing systematic arbitrage strategies on implied volatilizes on equities.
In 2005, he started his career at Commerzbank AG as an equity derivatives trader for index plain vanillas and structured products.
He holds an Engineer Diploma, an M.Sc.
in Signal Processing, and an M.Sc.
in Financial Engineering.
Postes actifs de Daniel Danon
| Sociétés | Poste | Début |
|---|---|---|
Assenagon Asset Management SA (Germany)
Assenagon Asset Management SA (Germany) Investment ManagersFinance Assenagon-DE is an active, risk-sensitive manager which aims to generate stable positive earnings through market-neutral, quantitative/benchmark and active strategies in their absolute return, credit, equity and wealth management funds. The firm's teams of experts provide holistic, fund-based risk management for their range of tailored investment solutions including quantitative trend-following funds which feature dynamic capital protection. | Head-Fixed Income Invts | - |
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| Entreprise privées | 1 |
|---|---|
Assenagon Asset Management SA (Germany)
Assenagon Asset Management SA (Germany) Investment ManagersFinance Assenagon-DE is an active, risk-sensitive manager which aims to generate stable positive earnings through market-neutral, quantitative/benchmark and active strategies in their absolute return, credit, equity and wealth management funds. The firm's teams of experts provide holistic, fund-based risk management for their range of tailored investment solutions including quantitative trend-following funds which feature dynamic capital protection. | Finance |
















