Summary
Overview
Work History
Education
Skills
Timeline
Generic

NIGEL BULLOCK

NEW YORK

Summary

Experienced Product Manager and Risk Management Specialist with a strong background in trading and developing solutions for asset managers. Half of the career focused on trading, managing portfolios, and mitigating risk, and the other half providing risk solutions to alternative investment managers. Unique perspective from working both as a user and vendor of risk management tools, bridging the gap between a portfolio manager's needs and innovative product development.

Overview

38
38
years of professional experience

Work History

Vice President, Front Office Products

Broadridge
10.2017 - Current
  • Senior product manager for Front Office Products in Broadridge Investment Management Solutions, focusing on Portfolio and Risk Management tools
  • Significant leadership and participation in graduate talent development programs
  • Drove radical changes in software deployment practices to accelerate delivery to all clients releasing and reducing costs

Senior Director, Risk and Modeling Products

Broadridge
12.2010 - 10.2017
  • Oversaw risk and modeling products, enhancing investment analytics and risk management strategies
  • Primarily servicing hedge funds across many strategies and asset classes

Global Risk Services PM

State Street Bank
06.2010 - 12.2010
  • Managed the Global Risk Services platform (truView) within State Street, focusing on product development and client solutions

Director of Risk Management

AIM-TO
04.2006 - 06.2010
  • Designed and implemented risk management solutions for hedge funds, managed accounts, and prime brokers

Managing Member

Pusinka Partners LLC
09.2001 - 03.2006
  • Designed, tested, and executed statistical arbitrage strategies across various sectors in US equities

Senior Portfolio Manager

Standard Bank
03.1992 - 08.2001
  • Managed a global macro portfolio using systematic trading strategies; engaged in proprietary trading across fixed income, equities, forex, and commodities
  • Provided risk consulting to trading desks

Trader/Analyst

First National Bank of Chicago
03.1991 - 02.1992
  • Worked on the commodity derivatives desk, trading and providing analytical & valuation tools

Analyst

JP Morgan
07.1987 - 02.1991
  • Completed Morgan Guaranty graduate training program
  • Undertook various assignments focusing on interest rate derivatives

Education

BA Honours - Mathematics

UNIVERSITY OF OXFORD
01.1989

Financial Risk Manager -

Global Association of Risk Professional
01.2013

Chartered Financial Analyst -

CFA Institute
01.2000

CFA ESG Certificate -

CFA Institute
01.2024

Skills

  • Product Management
  • Risk Management
  • Systematic Trading
  • Portfolio Management
  • Quantitative Analysis
  • Statistical Modeling
  • Client Solutions Development
  • Cross-Functional Team Leadership

Timeline

Vice President, Front Office Products

Broadridge
10.2017 - Current

Senior Director, Risk and Modeling Products

Broadridge
12.2010 - 10.2017

Global Risk Services PM

State Street Bank
06.2010 - 12.2010

Director of Risk Management

AIM-TO
04.2006 - 06.2010

Managing Member

Pusinka Partners LLC
09.2001 - 03.2006

Senior Portfolio Manager

Standard Bank
03.1992 - 08.2001

Trader/Analyst

First National Bank of Chicago
03.1991 - 02.1992

Analyst

JP Morgan
07.1987 - 02.1991

BA Honours - Mathematics

UNIVERSITY OF OXFORD

Financial Risk Manager -

Global Association of Risk Professional

Chartered Financial Analyst -

CFA Institute

CFA ESG Certificate -

CFA Institute
NIGEL BULLOCK