Profil
Mr. Jeffrey P.
Bolduc, CFA, is a Portfolio Manager at Manning & Napier Advisors LLC.
Prior to joining Manning & Napier, Mr. Bolduc was the Director of Research and Trading at 2100 Xenon
where he managed the research of future investment processes and portfolio management techniques, as well as managed the trade execution team and execution architecture.
Prior to this, he worked as a quantitative analyst at 2100 Capital Group where he helped manage and develop the multiple risk platforms for multi-strategy hedge fund and fund-of funds products.
He was also a member of a team that oversaw investments in quantitative equity, commodity trading advisor funds (CTA), long/short credit, and fund-of-funds strategies.
Prior to entering the hedge fund space, he worked as a strategy consulting analyst for CRA International providing the Metals and Chemical and Petroleum practices
with market, industry, and company level research.
He received his BA degree in Mathematics from Bates College and an MBA from The University of Chicago.
Anciens postes connus de Jeffrey P. Bolduc
| Sociétés | Poste | Fin |
|---|---|---|
2100 Xenon Group LLC
2100 Xenon Group LLC Investment ManagersFinance 2100 Xenon Group seeks to deliver significant absolute returns that are uncorrelated to both traditional investments and alternative strategies. They employ a multi-strategy, multi-timeframe approach that incorporates short-term opportunistic trades with multi-horizon momentum models. The firm's Managed Futures Programs maintain a short-term focus that trades both trend-following and counter-trend system within a multi-strategy, multi-time frame, risk-centric approach. 2100 Xenon Group's research team uses scientific methods to uncover and harness recurring market drivers that we believe are capable of generating risk-adjusted positive investment returns. They utilize six families of mathematical and statistical forecasting models for developing their market views. The firm's models are applied across 57 global markets, creating over 240 independent alpha opportunities. And their signals cover multiple time horizons with a short-term bias. 2100 Xenon Group's portfolio construction process involves both strategic allocation and dynamic position sizing. The firm determines how much risk they want to take in a model or market and establish baseline risk budgets. Then they view the portfolio in its entirety, using daily dynamic position sizing to drive the daily portfolio structure and number of contracts traded in each market each day. Finally, 2100 Xenon Group monitors their portfolio risk to ensure we are aligned with their goals on a daily basis through Intraday Dynamic Portfolio Volatility Forecasts. | Directeur de la Recherche - Actions | 31/12/2013 |
2100 Capital Group
2100 Capital Group Investment ManagersFinance 2100 Capital provides investment management capabilities to the institutional and retail marketplace. The firm employs both quantitative and fundamental approaches to capital markets. They focus on stock, bond, currency and commodity markets globally. 2100 Capital's strategies also include quantitative long/short equity, managed futures and macro | Corporate Officer/Principal | - |
Manning & Napier Advisors LLC
Manning & Napier Advisors LLC Investment ManagersFinance MNA offers equity, fixed income and objectives-based portfolios that invest mainly in stocks and bonds, including US and non-US issuers, and various market caps. The firm primarily employs a fundamental approach to equity selection, with decisions being driven by either top-down or bottom-up research. | Analyst-Fixed Income | - |
| CRA INTERNATIONAL, INC. | Corporate Officer/Principal | - |
Formation de Jeffrey P. Bolduc
Expériences
Fonctions occupées
Actives
Inactives
Sociétés cotées
Entreprise privées
Sociétés liées
| Entreprise privées | 6 |
|---|---|
Manning & Napier Advisors LLC
Manning & Napier Advisors LLC Investment ManagersFinance MNA offers equity, fixed income and objectives-based portfolios that invest mainly in stocks and bonds, including US and non-US issuers, and various market caps. The firm primarily employs a fundamental approach to equity selection, with decisions being driven by either top-down or bottom-up research. | Finance |
CRA International, Inc.
CRA International, Inc. Miscellaneous Commercial ServicesCommercial Services Provides litigation, regulatory and financial consulting services | Commercial Services |
Bates College
Bates College Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
The University of Chicago
The University of Chicago Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
2100 Capital Group
2100 Capital Group Investment ManagersFinance 2100 Capital provides investment management capabilities to the institutional and retail marketplace. The firm employs both quantitative and fundamental approaches to capital markets. They focus on stock, bond, currency and commodity markets globally. 2100 Capital's strategies also include quantitative long/short equity, managed futures and macro | Finance |
2100 Xenon Group LLC
2100 Xenon Group LLC Investment ManagersFinance 2100 Xenon Group seeks to deliver significant absolute returns that are uncorrelated to both traditional investments and alternative strategies. They employ a multi-strategy, multi-timeframe approach that incorporates short-term opportunistic trades with multi-horizon momentum models. The firm's Managed Futures Programs maintain a short-term focus that trades both trend-following and counter-trend system within a multi-strategy, multi-time frame, risk-centric approach. 2100 Xenon Group's research team uses scientific methods to uncover and harness recurring market drivers that we believe are capable of generating risk-adjusted positive investment returns. They utilize six families of mathematical and statistical forecasting models for developing their market views. The firm's models are applied across 57 global markets, creating over 240 independent alpha opportunities. And their signals cover multiple time horizons with a short-term bias. 2100 Xenon Group's portfolio construction process involves both strategic allocation and dynamic position sizing. The firm determines how much risk they want to take in a model or market and establish baseline risk budgets. Then they view the portfolio in its entirety, using daily dynamic position sizing to drive the daily portfolio structure and number of contracts traded in each market each day. Finally, 2100 Xenon Group monitors their portfolio risk to ensure we are aligned with their goals on a daily basis through Intraday Dynamic Portfolio Volatility Forecasts. | Finance |
















