Profile

Mr. Geoff Wood is the Head of Macro & Risk at Morphic Asset Management Pty Ltd.
He joined Morphic at the inception in 2012.
Mr. Wood previously worked in risk management at Global Trading Strategies, a global macro hedge fund that managed in excess of US$1 billion through the global financial crisis, 2009 to 2011.
Prior to that, he worked in risk management at Barclays Capital in London, managing the risks arising from the hedge fund clients of the bank's Prime Brokerage business.
Mr. Wood holds an M.Sc Financial Engineering (Distinction) from the University of London, and an M.Sc in Computer Science (Distinction) from the University of Birmingham as well as a B.Eng Mechanical Engineering (1st Class) from the University of Birmingham.

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Economist 29/02/2020
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