Research:

Stock market experience:

5 years, averaging >78% annual return. Strategy varies between macro-arbitrage, cross-industry macro-analysis and bottoms up stock picking.

(No piece of writing or research on this website should be construed as financial advice)

Investment and energy related experience:

  • Equity Research @ Bloomberg,

  • Finance and Strategy @ BP Plc,

  • Consulting : Market Strategy in Offshore Energy and Infrastructures @ 4C Offshore.

Credentials:

  • CFA Charterholder,

  • Masters in Finance @ Barcelona School of Economics,

  • Bachelor in Mechanical Engineering at the University of Toronto (+ president of Investment Club)


Read more about the Author’s credentials here.