Amar Patel
Partner at Three Point Capital- Claim this Profile
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Gujarati -
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Hindi -
Topline Score
Bio
Experience
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Three Point Capital
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Cayman Islands
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Venture Capital and Private Equity Principals
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1 - 100 Employee
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Partner
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Nov 2021 - Present
www.3point.io www.3point.io
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Novator capital
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Financial Services
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Risk Manager
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Dec 2020 - Feb 2022
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BCS Global Markets
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United Kingdom
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Financial Services
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100 - 200 Employee
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Equity Derivatives Trader - Director
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Sep 2017 - Jan 2020
Responsible for Emerging Markets equity Derivatives and ETF Trading, and management of operations for the complete OTC and listed derivatives trade cycle. Responsible for Emerging Markets equity Derivatives and ETF Trading, and management of operations for the complete OTC and listed derivatives trade cycle.
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Schroders
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United Kingdom
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Financial Services
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700 & Above Employee
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Product Manager
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Jun 2015 - Aug 2017
Product managed the equity derivatives call overwriting 'Maximiser' funds with combined AUM of $9bn, along with responsibilities to build out IT systems to help scale the business for OTC derivatives trading.
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Fund Manager
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Jun 2014 - Jan 2016
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Barclays Investment Bank
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United States
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Financial Services
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700 & Above Employee
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Equity Derivatives Trader
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May 2011 - Jan 2013
Managed the Financials and Consumer Flow Volatility option trading book. Managed the Financials and Consumer Flow Volatility option trading book.
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Nomura
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Financial Services
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700 & Above Employee
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Equity Derivatives Trader
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Jul 2008 - Mar 2011
Managed the Old Economy Flow Volatility book (consumer, industrials, Autos, Chemical sectors), through trading Vanilla and Exotic options, Delta - One products, Index and sector Indicies. Managed the Old Economy Flow Volatility book (consumer, industrials, Autos, Chemical sectors), through trading Vanilla and Exotic options, Delta - One products, Index and sector Indicies.
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Lehman Brothers
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Capital Markets
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700 & Above Employee
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Capital Market Analyst
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Jun 2007 - Sep 2007
Focused on the FX option business, specifically getting familiar with how to risk manage an options book. Investigated the relationship between risk reversals & interest rate differentials to price volatility surfaces for illiquid FX crosses. Focused on the FX option business, specifically getting familiar with how to risk manage an options book. Investigated the relationship between risk reversals & interest rate differentials to price volatility surfaces for illiquid FX crosses.
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Education
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Cass Business School
Master's degree, Mathematical Trading and Finance -
Saïd Business School, University of Oxford
Oxford Fintech Course, Finance, General -
University of Applied Sciences
Python for Algorithmic Trading certificate, Computer Programming, Specific Applications -
University College London, U. of London
Bachelor's degree, Mathematics -
Ilford County High School
A-Level, GCSE, Economics (A ) , Maths (A ) , Further Maths (A ) , Chemistry (A )