Profil
Dr. Zoltan Eisler is Co-Head of Execution at Capital Fund Management SA. He was formerly Portfolio Manager of Directional Strategies, and where he has worked since 2007.
He is jointly responsible for the research and development of both automated and voice-based trading systems and execution algorithms.
His applied research also includes short-term prediction of derivative prices, option portfolio management and high-frequency execution.
His recent academic work focuses on short-term liquidity effects and price impact.
Dr. Eisler holds a PhD in Physics from the Budapest University of Technology and Economics.
Anciens postes connus de Zoltan Eisler
| Sociétés | Poste | Fin |
|---|---|---|
Capital Fund Management SA
Capital Fund Management SA Investment ManagersFinance CFM is an active manager which invests through their funds in asset classes such as futures, equities and equity options. The firm specializes in quantitative and systematic approaches to financial markets and alternative asset management, and relies exclusively on statistical models for all trading and asset allocation decisions. CFM employs a diversified Alternative Beta program, a mix of simple, well-justified strategies, seeking to deliver persistent excess returns with scalable capacity, while exhibiting low correlation to traditional equity and fixed income benchmarks. Their in-house front-to-back office software utilizes straight through processing based on a statistical analysis of price fluctuations on futures, equity and option markets. In-house fundamental and applied research is performed by a team of physics and engineering specialists which supervises the implementation of automated trading strategies and risk control models for CFM's portfolios. | Portfolio Manager-Fixed Income | - |
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| Entreprise privées | 1 |
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Capital Fund Management SA
Capital Fund Management SA Investment ManagersFinance CFM is an active manager which invests through their funds in asset classes such as futures, equities and equity options. The firm specializes in quantitative and systematic approaches to financial markets and alternative asset management, and relies exclusively on statistical models for all trading and asset allocation decisions. CFM employs a diversified Alternative Beta program, a mix of simple, well-justified strategies, seeking to deliver persistent excess returns with scalable capacity, while exhibiting low correlation to traditional equity and fixed income benchmarks. Their in-house front-to-back office software utilizes straight through processing based on a statistical analysis of price fluctuations on futures, equity and option markets. In-house fundamental and applied research is performed by a team of physics and engineering specialists which supervises the implementation of automated trading strategies and risk control models for CFM's portfolios. | Finance |
















