Daniel Baranovsky is a seasoned finance professional currently serving as a Portfolio Manager at Citadel since June 2021, specializing in Equity Volatility. Prior to this role, Daniel spent over two decades at Citi, where responsibilities included significant positions such as Head of Equity Derivatives & Cash Trading Americas, Head of Equity Derivatives Trading Americas, and Head of Corporate Equity Derivatives Trading Americas. Daniel's academic background includes a Master’s degree in Political Economy of Transition from The London School of Economics and Political Science and an economics education through both Wesleyan University and additional studies at LSE.
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