Adam S. Iqbal is a Portfolio Manager at Squarepoint Capital in Dubai. Prior to this he was a Managing Director and Global Head of G10 FX Options Trading at Goldman Sachs in London, He has also worked as an FX Volatility Portfolio Manager at PIMCO and at Capstone Investment Advisors, and as a vanilla and exotic FX options trader at Barclays Investment Bank. In addition to Foreign Exchange: Practical Asset Pricing and Macroeconomic Theory (Palgrave Macmillan, 2022), he is also author of Volatility: Practical Options Theory (Wiley, 2018).
Dr. Iqbal holds a PhD in financial mathematics and economics from Imperial College London, an MSc in applied mathematics from Oxford University, and an MSci, and BA in physics from Cambridge University. He has held a visiting academic position at Imperial College London and has guest lectured at the London School of Economics.