Chief Risk Officer
TwentyFour Asset Management LLP
8th Floor, The Monument Building, 11 Monument Street
EC3R 8AF London
Chris joined TwentyFour as Chief Risk Officer in 2020 and has over 20 years of investment management experience. Before joining TwentyFour, Chris spent three years serving as Head of Investment Risk for Barclays with responsibilities covering: retail products; private banking; and investment management across all asset classes.
Before his time at Barclays, Chris served as Head of Investment Risk for Santander Asset Management and also spent 8 years with UBS Asset Management leading global hedge fund quantitative research and front office risk management functions. At UBS, Chris also served as Portfolio Manager for a $1bn+ AUM quantitative equity hedge fund for 6 years. Chris began his career as a quantitative analyst at MAN FRM where he focused on hedge fund quantitative asset allocation and risk management. He holds MPhil, MSc and BSc qualifications in Mathematics from the University of Warwick.