Jeffrey L. Feit, JD
Bronx, NY *****
*******@*****.*** 516-***-****
Investment Portfolio Manager
Experienced professional with proven success with multiple New York area-based firms. Extensive knowledge of macro and volatility issues. Well-versed in commodities, options, and hedge funds. Highly adept at currency and future derivative trading. Strong ability to meet and exceed designated goals and quotas. Demonstrated skills in developing and executing strategies that increase customer revenues.
Areas of expertise include…
Strategic Planning and Analysis
Client Relations/Customer Service
Research and Investigation
Financial Modelling
Relationship Development
Account Management and Growth
Investment Report Writing
Security Recommendations
Professional Experience
TRADER/ASSISTANT PORTFOLIO MANAGER, 2011 to Present
Schenker Jack IB, New York, NY
Collaborate with regulatory authorities, lead brokers, and traders to oversee risk and compliance/operational tasks of firm business. Conduct three annual audits.
Generated more than 40% profit in crude selling calls, puts, and futures in Gold, Oil, Softs, Natural Gas, and Currencies in 2013.
Secured more than 10% in annual profit and loss by developing entry/exit system.
Created Excel-based system supplying updated daily risk analysis, delta positioning, and option slides for various derivative positions resulting in increased firm synergy and trade decisions.
Utilized premium selling and line retracement trading tactics to gain in 20% in futures trading and options selling in Euro and Swis in 2014-15.
QUANTITATIVE STRATEGY DEVELOPER, 2010 to 2011
Currency Strategy Implementation, New York, NY
Traded discretionary products for diverse array of clients by determining currency pair time and price deterioration. Devised and executed successful multi-time frame strategy through Excel and FXCM Platform. Discovered volatility with Macro based metrics
EQUITY AND VOLATILITY ANALYST, 2006 to 2009
Tigen Capital, LLC, Garden City, NY
Undertook discretionary cash derivative and equity actions related to beta market hedging. Protected complete beta market position with volatility options. Developed and implemented reliable model through inventory levels, net receivables and cash flow analysis to choose stocks.
Caught bottom of Coffee based on trade route and weather conditions.
Achieved more than 100% buying language educational equities in China by analyzing percentage of businesses forming businesses.
Educational Background
Juris Doctor in concentration in Securities and Corporate Law Litigation
Pace University School of Law, 2006 (Honor Board)
Bachelor of Arts in Business Communications and Journalism, Minor in Finance
Yeshiva University, New York, NY, 2003
CMT Training seminars