One River Asset Management
Kai Zhang has extensive experience in quantitative research and financial analysis, currently serving as a Quantitative Researcher and Trader at One River Asset Management since April 2022. Prior to this role, Kai Zhang held positions at AllianceBernstein from August 2015 to April 2022, where responsibilities included macro strategies research and portfolio management as a Macro Strategy Analyst/Sub PM, as well as quantitative research on equity portfolio construction and factor research. Earlier experience includes serving as an Associate at Societe Generale, focusing on energy commodity derivatives pricing and volatility strategies research, as well as an Analyst at Barclays Capital, where pricing and risk measures for the global interest rate options desk were managed. Kai Zhang holds an MS in Financial Engineering from New York University and a Bachelor's degree in Financial Engineering from Nankai University.
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One River Asset Management
Innovative investment manager dedicated to delivering high-conviction absolute-return strategies that help our clients build superior portfolios. Our strategies are built to profit from this dynamic environment while providing strong diversifi...