Julian R. Vulliez

Julian R. Vulliez

Nessuna posizione attualmente
Finance
Consumer Services

Profilo

Prior to joining Ramius in May 2002, Mr. Vulliez was a portfolio manager in the Distressed Securities Group at Perry Capital, an affiliate of Perry Partners LLC, and was responsible for investing in subordinate and distressed CMBS, ABS, REITs and managing the real estate exposure across a $4.2 billion fund.
From 1997 to 1998, Mr. Vulliez was an Assistant Portfolio Manager in the Fixed Income Group at Clarion Capital (formerly Jones Lang Wootton Realty Advisors) and was responsible for running the subordinate structured products portfolios.
From 1995 to 1997, Mr. Vulliez was an Associate in the Asset-Backed Securities group at Bear, Stearns & Co. Inc. Before joining Bear Stearns, from 1993 to 1994, Mr. Vulliez was a quantitative analyst at Ocwen Financial Corp.
where he was responsible for model development, collateral and bond reporting and hedge analysis for a subordinate mortgage-backed securities portfolio.
Mr. Vulliez received a B.A. in 1992 from Columbia College and a B.S.
in 1993 from the School of Engineering and Applied Science at Columbia University.

Precedenti posizioni note di Julian R. Vulliez

SocietàPosizioneFine
Portfolio Manager-Fixed Income 02/07/2008
Corporate Officer/Principal 30/04/2002
Corporate Officer/Principal 31/12/1997
Analista-Rendimento Fisso 31/12/1996
ONITY GROUP INC. Corporate Officer/Principal 31/12/1994
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