Profilo
Prior to joining Intelligo in 2001, Mr. Resnick spent eighteen years in the Treasury Department of ABN AMRO Bank, Canada, most recently as Head of Corporate Marketing, Foreign Exchange and Money Markets.
Previously, Mr. Resnick held a number of positions at ABN AMRO, including Treasury Manager and Chief Dealer, Foreign Exchange.
In these functions he was responsible for managing the bank's exposure to a range of major and minor currencies, and was instrumental in developing and marketing FX option strategies for Canadian and International clients.
He managed the funding of the Canadian and US dollar book.
Mr. Resnick has gained international market experience in dealing rooms in Amsterdam, London, New York and Chicago.
Precedenti posizioni note di Paul Resnick
| Società | Posizione | Fine |
|---|---|---|
Intelligo Capital Corp.
Intelligo Capital Corp. Investment ManagersFinance Intelligo Capital Corp.'s investment approach focuses on foreign exchange, fixed-income, selective equity products and exchange traded index futures. They seek to provide stable, superior risk adjusted returns over the medium- to long-term through a full range of market environments. The company focuses on limiting downside correlation with traditional asset classes while maintaining higher risk adjusted returns on the upside. They use derivatives and leverage to optimize market returns and enhance them to a greater degree than is possible with more traditional investment vehicles. The Intelligo Fund is an actively managed global macro fund | Direttore della Ricerca - Azioni | 31/03/2009 |
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Aziende private
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Aziende connesse in 1º grado
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| Aziende private | 1 |
|---|---|
Intelligo Capital Corp.
Intelligo Capital Corp. Investment ManagersFinance Intelligo Capital Corp.'s investment approach focuses on foreign exchange, fixed-income, selective equity products and exchange traded index futures. They seek to provide stable, superior risk adjusted returns over the medium- to long-term through a full range of market environments. The company focuses on limiting downside correlation with traditional asset classes while maintaining higher risk adjusted returns on the upside. They use derivatives and leverage to optimize market returns and enhance them to a greater degree than is possible with more traditional investment vehicles. The Intelligo Fund is an actively managed global macro fund | Finance |
















