Profile

Mr. Julian G.
Shaw
is Head-Risk Management at Permal Investment Management Services Ltd.
He is responsible for all risk management activities, fund derivative structuring and strategic portfolio advice to Permal clients, especially institutions such as pension funds and asset management companies.
He joined the Permal Group from Barclays Capital in 2004 where he was Global Head of Market Risk.
Prior to Barclays, he was the quantitative analyst at Gordon Capital (market makers for Canadian stock index futures and options).
He later joined CIBC as Vice President for New Products on the fixed income derivatives desk.
Mr. Shaw has a Master's degree in Mathematics and is a Chartered Financial Analyst.

Former positions of Julian G. Shaw

CompaniesPositionEnd
Corporate Officer/Principal 01/03/2014
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