David Wallner, CFA, FRM, is an experienced finance professional with a robust background in investment risk management and quantitative analysis. Currently serving as Vice President of Investment Risk Management at PPM America, Inc. since October 2007, David has played a crucial role in enhancing and maintaining a proprietary fixed-income performance attribution system for substantial accounts totaling $62 billion in assets. Prior to this, David held various roles at Nuveen Investments from 1999 to 2007, including Product Analyst, where modeling fund attributes for fixed-income products was a key responsibility. David's earlier experience includes serving as an Investment Accountant at State Street. David holds a Bachelor of Business Administration in Finance from The University of Iowa Tippie College of Business.
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