Prior to founding Jenkins Risk Management, Jason was Head of Rates Trading at CG Capital Markets. Before joining CG Capital, Jason spent almost a decade trading US Treasuries and building out a successful institutional analysis and fixed income trading business. Jason covered all the primary dealers, large buy-side money managers and hedge funds. He began his financial career at Charles Schwab as a trader in the equity and options markets before moving to the sell-side to trade fixed income at JVB Financial and vFinance. Jason holds a bachelor’s degree in Finance and Business Administration from the University of Colorado at Boulder.
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06 Jan, 2017 in Money Management