Vice President, Fixed Income Financing @ Morgan Stanley
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Portfolio Manager @ From August 2015 to Present (5 months) Greater New York City AreaPortfolio Manager @ G7 interest rate relative value strategies. From August 2013 to August 2015 (2 years 1 month) Greater New York City AreaVice President, Fixed Income Financing @ Responsible for market making in European Governments Specials, General Collateral (Sovereigns, Corporates, ABS), and
Portfolio Manager @ From August 2015 to Present (5 months) Greater New York City AreaPortfolio Manager @ G7 interest rate relative value strategies. From August 2013 to August 2015 (2 years 1 month) Greater New York City AreaVice President, Fixed Income Financing @ Responsible for market making in European Governments Specials, General Collateral (Sovereigns, Corporates, ABS), and Bills (primary dealer in Bubills, BTFs, BGTBs, BOTs, IRTBs, ESM, and PORTB)
Risk taker in repos, cash, interest rate swaps, futures, listed and OTC options, and foreign currencies From January 2011 to July 2013 (2 years 7 months) London, United KingdomAssociate, Fixed Income Financing @ Market maker for US Treasury Specials Matchbook.
Relative value trading strategies in US Treasuries, interest rate swaps, options, and futures. From July 2009 to July 2011 (2 years 1 month) Greater New York City AreaAnalyst, Prime Brokerage Risk Management @ Defined risk-based collateral requirements for multi-asset class hedge funds trading in equities, fixed income, listed and OTC derivatives, and structured credit products. Specialized in quantitative equity market-neutral and statistical arbitrage strategies. From July 2007 to July 2009 (2 years 1 month) Greater New York City Area
Bachelor of Science in Engineering, Operations Research & Financial Engineering @ Princeton University From 2003 to 2007
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