Jon is a director in the Fixed Income and Derivatives Portfolio Management Group, with a focus on quantitative portfolio implementation in credit engagements. He is authorized to trade fixed income securities.
Prior to joining NISA in 2022, Jon spent nine years at AQR where he was a managing director and portfolio manager for their Systematic Credit strategies. Before that, he spent six years at Morgan Stanley as a Quantitative Analyst and Trader on their Structured Credit Desk. Jon began his career at UBS as a Quantitative Developer. He holds a BA in Mathematics and Computer Science from Cornell University.