Profil
Mr. Jorge F.
Villon is the Chief Executive Officer at Polygon Investment Partners LLP.
He has has more than 25 years of experience in the financial services industry in roles encompassing trading, risk management and managing global trading businesses.
Before Polygon, he was the Chief Executive Officer & Partner at London-based hedge fund MKM Longboat.
Earlier in his career, he held senior positions in the investment banking industry, including Managing Director in the Chief Investment Office of JP Morgan, Global Head of Foreign Exchange, Commodities and Proprietary Trading at Dresdner Kleinwort Wasserstein and Managing Director in the Leveraged Funds Group of Credit Suisse.
Anciens postes connus de Jorge F. Villon
| Sociétés | Poste | Fin |
|---|---|---|
Polygon Investment Partners LLP
Polygon Investment Partners LLP Investment ManagersFinance Polygon is an active, alternative investment manager, investing in a wide range of equity. The firm has repeatedly taken strong stances on management issues in the companies in which they invest. Polygon's global HF is predominantly invested in the liquid markets of North America and Europe. The details of Polygon's investment strategy are closely guarded. Their overall approach follows a long/short investment style and is focused on event-driven trading, convertible and credit trading, and aims at taking advantage of pricing inefficiencies in the market. Polygon's objective is to generate annual returns in the mid-teens, with low monthly volatility and low correlation to major market indexes. | President | 05/10/2012 |
Fortrinn Partners LLP
Fortrinn Partners LLP Investment ManagersFinance Fortrinn is a team-based, research-oriented manager which utilizes diversified strategies, aiming to provide opportunity through economic, volatility and strategy cycles. They perform fundamental and quantitative analysis across asset classes and market caps, combining top-down and bottom-up approaches to perform tactical and strategic allocation. They spread risk across portfolios, hedge risks at the portfolio level and exploit opportunities by maximizing correlation benefits. The firm employs volatility trading strategies across equities, FX, commodities, credit and interest rates to exploit price dislocations driven by model mis-evaluation, market sentiment, liquidity and risk assessment divergence. They use a combination of qualitative derivative modeling, an understanding of underlying price distributions and an assessment of market dynamics and investor sentiment to perform trades. | President | 31/12/2009 |
MKM Longboat Capital Advisors LLP
MKM Longboat Capital Advisors LLP Investment ManagersFinance Provides investment management services | President | 27/02/2009 |
Expériences
Fonctions occupées
Actives
Inactives
Sociétés cotées
Entreprise privées
Relations
Relations au 1er degré
Entreprises liées au 1er degré
Homme
Femme
Administrateurs
Exécutifs
Sociétés liées
| Entreprise privées | 3 |
|---|---|
Polygon Investment Partners LLP
Polygon Investment Partners LLP Investment ManagersFinance Polygon is an active, alternative investment manager, investing in a wide range of equity. The firm has repeatedly taken strong stances on management issues in the companies in which they invest. Polygon's global HF is predominantly invested in the liquid markets of North America and Europe. The details of Polygon's investment strategy are closely guarded. Their overall approach follows a long/short investment style and is focused on event-driven trading, convertible and credit trading, and aims at taking advantage of pricing inefficiencies in the market. Polygon's objective is to generate annual returns in the mid-teens, with low monthly volatility and low correlation to major market indexes. | Finance |
MKM Longboat Capital Advisors LLP
MKM Longboat Capital Advisors LLP Investment ManagersFinance Provides investment management services | Finance |
Fortrinn Partners LLP
Fortrinn Partners LLP Investment ManagersFinance Fortrinn is a team-based, research-oriented manager which utilizes diversified strategies, aiming to provide opportunity through economic, volatility and strategy cycles. They perform fundamental and quantitative analysis across asset classes and market caps, combining top-down and bottom-up approaches to perform tactical and strategic allocation. They spread risk across portfolios, hedge risks at the portfolio level and exploit opportunities by maximizing correlation benefits. The firm employs volatility trading strategies across equities, FX, commodities, credit and interest rates to exploit price dislocations driven by model mis-evaluation, market sentiment, liquidity and risk assessment divergence. They use a combination of qualitative derivative modeling, an understanding of underlying price distributions and an assessment of market dynamics and investor sentiment to perform trades. | Finance |
















