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Friday, November 28, 2025

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Sammer Sabri, Experienced Derivatives Trader
Capital Markets  Greater Chicago Area
 
 
Sammer Sabri is an options market-maker, trader and derivatives portfolio manager with 14 years of experience in propriety options pricing, basic arbitrage, statistical arbitrage, spreads, risk management, portfolio management theory and volatility analysis. Throughout his career he has traded equities, equity derivatives, indices, equity index derivatives, commodity and commodity derivatives (and managed portfolios consisting of these) on several exchanges both as an independent entrepreneur and in fast-paced, team-oriented settings. He is familiar with private equity strategies, hedge fund strategies, and econometric methods.

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Stephane Rozier, SVP Listed Derivatives at Macquarie Group
Financial Services  Montreal, Canada Area
 
 
Macquarie Capital Markets Canada (MCMC) Based in Montreal, I joined the firm in February 2012 to build the brokerage units of listed derivatives. I bring extensive brokerage-industry and management experience to the top post of the listed derivatives division of MCMC. For nearly 20 years, I have worked in all facets of a brokerage firm – from the Exchange trading floor to trading arcade room to multi-asset class front-office operations. These varied roles have given me invaluable insight into every aspect of the brokerage industry, from sales to operations to IT to risk management to legal and compliance. I now have the privilege of applying those insights at Macquarie daily. My team and I offer clearing and execution services on various asset classes such as Fixed Income, International Equities, Foreign Exchange, Commodities, Energy and Metals. Prior to joining MCMC, I was the President and CEO of MF Global Canada where I spent six years overseeing every department of the Canadian entity. Prior to MF Global I spent five years at Fimat Canada Inc. as the VP & Director of Institutional Sales, where I was responsible for all front-office operations. I also worked as a senior floor trader at the Montreal Exchange for some of Canada’s leading financial institutions. I am a member of the Bourse de Montreal Regulatory Division, a special committee, appointed by the Board of Directors, responsible for supervision of regulatory duties and operations of the Bourse. I founded the IIAC Derivatives Committee and sat as Chairman from 2012 to 2013. Along with other members of the financial community, I sat on the Quebec and Ontario District Council of the Investment Industry Regulatory Organization of Canada (IIROC) from 2008 to 2012. Specialties: Specialties: Listed and OTC financial products - sales & trading, operations, IT and Risk Management Strengths: Global Vision, Strategic Planning, Negotiation, Management.

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Ilia Kirillov, Trader Assistant - Vanilla Derivatives at HSBC FR GBM
Investment Banking  Nice Area, France
 
 
I am a Master in Finance student at EDHEC Business School, currently doing an internship in Trading Analysis at Société Générale, currently looking for a six-month internship in Market Finance starting in January 2015. Education: - Master in Finance student at EDHEC Business School graduating in 2016 with a double degree MSc Finance and Master in Management (Grande Ecole). - Toulouse School of Economics, "BSc Economics and Management". Association activities: - Member of "HelloWorld!Edhec" student association during my first and second years of studies at EDHEC, focused on website development and e-sport & IT event organizing. Skills: - Fluent in three languages: Russian, English, French. - Analytical thinking and result-driven mindset developed through extensive trading analysis experience obtained while working as Trading Analyst at Société Générale

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Anthony Jew, Derivatives and Stuctured Products Lawyer with Investment Management Experience
Financial Services  Greater New York City Area
 
 
I am a seasoned derivatives and securities lawyer with alternative and traditional investment management experience. I have drafted and worked on a wide variety of financial products including structured products (structured notes and CDs), OTC derivatives, securitizations, CDOs, CLOs, hedge funds / private funds and ETFs. I have provided legal advice matters under the Securities Act, the Securities Exchange Act, the Investment Company Act, the Investment Advisers Act, the Commodities Exchange Act, NFA rules, FINRA Rules, ERISA and Volcker. I have overseen the creation of a compliance program for a registered investment adviser and commodity pool operator within JPMorgan's investment bank.

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Sam Zhiquan, Listed Derivatives
Financial Services  Singapore
 
 


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