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Craig French is a Partner at Corbin Capital Partners, L.P., where he serves as Director of Risk Management and Quantitative Research. In this role Mr. French is responsible for portfolio construction and risk management of approximately $2.1 billion in alternative assets. Prior to joining Corbin Capital Partners (formerly known as Dubin & Swieca Capital Management), he was the U.S. Equity Strategist for SEI Investments, responsible for portfolio strategy and risk management for funds totaling $20 billion. Previously, Mr. French was an Associate at Goldman Sachs Asset Management, focusing on quantitative strategies. Prior to that, he traded currency derivatives on the Philadelphia Stock Exchange and the Chicago Mercantile Exchange for Société Générale Options, N.A. and Susquehanna Investment Group.
Mr. French holds memberships in the American Finance Association, Western Finance Association, International Association of Financial Engineers, Society of Quantitative Analysts, and Professional Risk Managers International Association. He has taught financial engineering at Columbia University, been a guest lecturer on derivatives pricing and trading at the Wharton Executive MBA program, and his research has been published in the Journal of Investment Management and in the Journal of Portfolio Management. Mr. French graduated summa cum laude from the University of Pennsylvania's Wharton School of Business.
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