Leadership

John Moffatt

Senior Portfolio Manager

John Moffatt is a Senior Portfolio Manager and manages the credit equity and foreign exchange volatility strategy, which takes relative volatility positions in equity indices in Asia, Europe, and the US. John most enjoys his job at Capstone for the challenging work and meritocratic culture along with working with interesting and talented colleagues. John began his career with Saratoga Limited trading options on the European Options Exchange Amsterdam. Having had experience with trading single stock options, John moved on to trade index options on the trading floor. When the open outcry floor closed in Amsterdam, John transferred to the proprietary trading desk at Mako Global Derivatives.

John received a B.A. degree in Financial and Business Economics from the University of Newcastle Upon Tyne, an M.B.A. degree from Virginia Commonwealth University and an M.Sc. degree in Mathematical Trading and Finance from City University in the UK.

Disclaimer: This website is for informational purposes only and should not be construed as legal, tax, investment or other advice. It does not constitute an offer to sell, or the solicitation of an offer to buy, any product, security or service. Any such offer or solicitation will only be made to qualified offerees.

Unless otherwise indicated, the information contained herein is current as of the date indicated on the Website. The information herein is believed to be reliable and has been obtained from sources believed to be reliable, but no representation or warranty is made, expressed or implied, with respect to the fairness, correctness, accuracy, reasonableness or completeness of the information and opinions contained within this Website. Additionally, there is no obligation to update, modify or amend this communication or to otherwise notify a reader in the event that any matter stated herein, or any opinion, projection, forecast or estimate set forth herein, changes or subsequently becomes inaccurate.