Daniel Stewart '13
Trader, Discretionary Macro
Schonfeld Securities
Daniel’s career in fixed-income trading spans a decade post-graduation working at buy side and sell-side institutions. Beginning his career within the Foreign Exchange Emerging Markets team at Morgan Stanley, Daniel quickly got the bug for global markets, interest rates and macroeconomic data. He left MS in January 2016 to pursue a cross-asset trading opportunity at Balyasny, a multi strategy hedged fund based in Chicago, IL where he spent the next three years. After that, Daniel worked in the NY office of GIC, the Singaporean Sovereign Wealth Fund where he helped to invest the foreign reserves of Singapore in Fixed Income instruments across credit, DM and EM sovereign bonds, and Foreign Exchange. Most recently, Daniel was tapped in January 2022 to help lead the trading efforts of the Discretionary Macro Fixed Income team at Schonfeld Securities, which launched in February 2022 with $5bn AUM. Daniel and his family reside in Westchester County, NY. |