Xinfeng Zhou

Xinfeng Zhou manages a global long/short equity portfolio at Point72 Asset Management. He has designed and implemented trading strategies by integrating fundamental long/short ideas, quantitative stock selection signals, portfolio optimization, risk management, and algorithmic trading. Formerly with Goldman Sachs, Barclays Global Investors, and Cambridge Alternative Investments, he employs financial engineering methodologies, investment theory, and applied mathematics to trading signal development, trading cost analysis, derivative trading, securities lending, and asset allocation.

Mr. Zhou is a CFA charterholder, Financial Risk Manager (FRM), and has a Ph.D. from Massachusetts Institute of Technology.

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