John M. Bucci is a Vice President at Gurtin Fixed Income with a primary responsibility of overseeing the portfolio analytics system and conducting quantitative analysis related to the Firm's investment strategies. Mr. Bucci also oversees the enhanced liquidity and short duration strategies and serves as a member of the Investment Committee.
Prior to joining Gurtin Fixed Income, Mr. Bucci worked at Morgan Stanley within The Gurtin Group, a discretionary fixed income portfolio management business. He was directly responsible for quantitative research and analysis supporting current and potential clients, and cash portfolio management.
Mr. Bucci graduated from the University of California at Los Angeles (UCLA) in 2004 with a B.S. in Mathematics of Economics. He received an M.S. in Statistics with a concentration in Financial Engineering from UCLA in 2006. Mr. Bucci completed his thesis on option pricing theory and an update on the empirical pricing of equity options.
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