Profil
Dr. Daniel T.
Oram is Research Director at Aspect Capital Ltd.
He joined Aspect Capital in January 2005, and has since held senior positions in the research and risk teams.
Previously, he was Aspect Capital's Risk Director, in which capacity he reported directly to Anthony Todd, Aspect's Chief Executive Officer.
As Risk Director, Dr. Oram was responsible for the development and operation of the risk management frameworks through which the Trading Advisor continuously monitors and controls the risk exposures of its programs.
He also headed the team which is charged with producing full and independent risk reviews of all new systematic strategies prior to their implementation.
He has been a CFTC listed principal of the Trading Advisor since January 3, 2008.
Before joining the Trading Advisor, Dr. Oram worked as a Risk Engineer at Canon Research Europe (the research and development arm of Canon) between October 2001 and July 2004 developing new technologies for use in both Canon and third party products.
Dr. Oram holds a 1st class degree in Computer Science and a PhD in Image Sequence Geometric Reconstruction from Manchester University.
Ehemalige bekannte Positionen von Daniel T. Oram
| Unternehmen | Position | Ende |
|---|---|---|
Aspect Capital Ltd.
Aspect Capital Ltd. Investment ManagersFinance Aspect Capital applies a systematic and quantitative approach to investment management, with the aim of generating high-quality and diversifying alpha for their clients' portfolios. Their investment approach is proprietary and deploys multiple trading strategies in a broad range of highly liquid global financial and commodity markets, including equities, ETFs, futures, currency forwards and other derivative contracts. In collecting, processing and analyzing market data, the firm uses a qualitative process in order to determine the model’s view of the profit opportunities in each market in a portfolio. Aspect Capital analyzes a wide range of market data using proprietary statistical tools to identify and exploit profit opportunities. | Analyst-Equity | 01.10.2013 |
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| Private Unternehmen | 1 |
|---|---|
Aspect Capital Ltd.
Aspect Capital Ltd. Investment ManagersFinance Aspect Capital applies a systematic and quantitative approach to investment management, with the aim of generating high-quality and diversifying alpha for their clients' portfolios. Their investment approach is proprietary and deploys multiple trading strategies in a broad range of highly liquid global financial and commodity markets, including equities, ETFs, futures, currency forwards and other derivative contracts. In collecting, processing and analyzing market data, the firm uses a qualitative process in order to determine the model’s view of the profit opportunities in each market in a portfolio. Aspect Capital analyzes a wide range of market data using proprietary statistical tools to identify and exploit profit opportunities. | Finance |
















