Chris Thomas joins Twenty Four Asset Management as Chief Risk Officer and has over 19 years investment management experience. Before joining Twenty Four, Chris spent nearly 3 years serving as Head of Investment Risk for Barclays with responsibilities covering: wealth management and private banking; investment management; digital investing; and deputising for the CRO. Prior to Barclays, Chris served as Head of Investment Risk for Santander Asset Management and has also held a number of front office positions with UBS Alternative and Quantitative Investments including Head of Risk and Head of Quantitative Analysis. At UBS, Chris also served as Portfolio Manager for a quantitative equity hedge fund for 6 years. Chris began his career as a quantitative analyst with asset allocation and risk management coverage at MAN FRM. He holds an MPhil, MSc and first class BSc in Mathematics from the University of Warwick.