Richard Torres
Portfolio Manager / Trader at Terrapin Partners- Claim this Profile
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Spanish Native or bilingual proficiency
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Portuguese Professional working proficiency
Topline Score
Bio
Credentials
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Series 7
FINRA
Experience
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Terrapin Partners
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United States
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Executive Offices
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1 - 100 Employee
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Portfolio Manager / Trader
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2021 - Present
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University of Miami
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United States
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Higher Education
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700 & Above Employee
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Adjunct Professor Investments & Security Markets
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2013 - Present
Investments & Security Markets FIN302 and FIN320 Advanced Course exposing students to the fundamental concepts of investment theory and financial markets, including portfolio theory, asset pricing and the analytical tools of portfolio management. Investments & Security Markets FIN302 and FIN320 Advanced Course exposing students to the fundamental concepts of investment theory and financial markets, including portfolio theory, asset pricing and the analytical tools of portfolio management.
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Investment Placement Group
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United States
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Financial Services
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1 - 100 Employee
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Investment Specialist
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2018 - 2021
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Senior Portfolio Manager
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2013 - 2017
Oversee IG, HY & EM credit & macro investment strategies and research including LatAm, Middle East, Eastern Europe & Asia for $1 billion global investment advisor. Oversee IG, HY & EM credit & macro investment strategies and research including LatAm, Middle East, Eastern Europe & Asia for $1 billion global investment advisor.
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Everest Capital
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United Kingdom
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Venture Capital and Private Equity Principals
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1 - 100 Employee
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Portfolio Manager
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2004 - 2009
Part of 17 member investment team responsible for managing $3.0 bln global macro investment fund with a focus on emerging markets. Generalist Senior Analyst / Portfolio Manager responsible for idea generation, global asset allocation and investment analysis for equities, commodities, high yield / distressed debt and currencies for the Global Macro and Emerging Market funds. Part of 17 member investment team responsible for managing $3.0 bln global macro investment fund with a focus on emerging markets. Generalist Senior Analyst / Portfolio Manager responsible for idea generation, global asset allocation and investment analysis for equities, commodities, high yield / distressed debt and currencies for the Global Macro and Emerging Market funds.
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Royal Bank of Canada
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Australia
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Banking
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High Yield Bond / Distressed Debt Analyst
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2001 - 2003
Metals & Mining - #2 Institutional Investor Ranked Team in '01 and '02 Metals & Mining - #2 Institutional Investor Ranked Team in '01 and '02
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Bank of New York Mellon
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India
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Banking
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Corporate Finance Analyst
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1999 - 2001
Mergers & Acquisition / Corporate Finance Mergers & Acquisition / Corporate Finance
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Education
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Columbia University - Columbia Business School
MBA, Finance / Investment Management -
New York University
BA, Latin American Studies / International Business -
Universidad Nacional Autónoma de México
Bachelor's degree, International Relations and Affairs -
Insituto Internacional de Madrid
Bachelor's degree -
Monroe Woodbury Senior High
Comprehensive Diploma with Honors - Pre-engineering