Nearly twenty years trading experience for tier one financial institutions, all relating to proprietary trading using the banks own money. 2008 remains my single best year despite counter party default and I have never lost money for investors, My background is more focused on commodities and FX but I switch focus with opportunity, Tendency is to like to move against trend/fashion aiming for reversion to mean in key metrics. Judgement is in the timing for these greater fool plays, and I strongly value cash flow and will penalise debt in an increasing interest rate environment.
Experience in securities trading
Risk class 1: 3 or more years
Risk class 2: 3 or more years
Risk class 3: 3 or more years
Risk class 4: 3 or more years
Risk class 5: 3 or more years
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The invested capital may differ from the actual value due to the conversion of several currencies.