Steven List is an experienced professional in the finance industry with a strong background in trading and risk management. Steven began their career in 1991 at Tudor Investment Corporation, where they quickly rose to the role of Global Fixed Income Trader. During their time at Tudor Investment Corporation, Steven traded in the US and Europe and played an instrumental role in developing fixed income strategies during the European ERM crisis.
In 1997, Steven joined BearCat Capital as a Fixed Income Trader, where they delivered global cash and futures trades and provided insights on trading strategies to the CEO. Steven then moved on to Campbell & Co in 1998, where they served as a Senior Trader and North American Shift Manager. At Campbell & Co, Steven traded fixed income futures and developed electronic trading platforms while mentoring junior traders.
From 2005 to 2009, Steven worked at Caxton Associates as a Macro Execution Trader, first in the Caxton Europe division and then later in the Asia Deck division. During their time at Caxton Associates, they executed all necessary trading during a terrorist attack and subway bombings in 2005 and supervised a team of traders on the Asia desk during the global financial crisis.
Currently, Steven is the Managing Director of Trading at AlphaSimplex Group, a position they have held since 2009. In this role, they guide teams in implementing global trades, resolves issues, manages schedules, and delivers operational processes. Steven also oversees the firm's liquidity and plays a key role in the executive team during a period of exponential growth.
Throughout their career, Steven has demonstrated a strong ability to analyze market conditions, develop trading strategies, and deliver results in volatile and challenging environments.
Steven List has a Bachelor of Science (B.S.) degree in Finance from the University of Maryland. Additionally, they hold certifications including the Financial Services Authority (FSA) Approved Person from the Financial Services Authority (FSA) and the Series 3 Registered certification from the Financial Industry Regulatory Authority (FINRA). No specific information is provided regarding the years in which these certifications were obtained.
Sign up to view 3 direct reports
Get started