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Stavros Valavanis

Oil Trader at Deutsche Bank Securities

Stavros Valavanis is a financial professional with extensive experience in commodities trading and portfolio management. He worked as an Oil Trader at Deutsche Bank Securities from July 2011 to February 2015, holding the position of Vice President on the oil desk.1

Currently, Valavanis is an Associate Partner and Portfolio Manager at Caxton Associates in London, where he has been working since November 2015. In this role, he serves as the Head of Commodities and Energy Transition teams.1

Valavanis has a strong educational background from MIT, including:

  • Bachelor's degree in Electrical Engineering and Computer Science
  • Master's degree in Electrical Engineering and Computer Science
  • PhD in Financial Mathematics, supervised by Professors Andrew Lo and Munther Dahleh1

Prior to his current position, Valavanis also worked as an Oil Trader at BNP Paribas CIB and held a fellowship at the US Treasury, where he analyzed systemic risk metrics for the Office of Financial Research.1

Valavanis is fluent in English and Greek, with native or bilingual proficiency in both languages.1

Highlights

Multi-Stage Treatment for Spetzler–Martin Grades III, IV, and V ...
Sep 7 · pubs.acs.org
In Situ Electron Diffraction Tomography Using a Liquid ...
[PDF] A Survey of Systemic Risk Analytics - Office of Financial Research

Related Questions

What are Stavros Valavanis' main responsibilities at Caxton Associates?
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Location

New York, New York, United States