David Hancock

  • Asset Management
  • Bond, Fixed Income & Derivative trading
  • Hedge Fund Management
  • Valuations
  • Treasury & Trade Execution
  • Market Making
  • Risk Management

David has over 30 years’ experience in financial markets, initially as a director of fixed income at several investment banks before working in the set up team for one of Europe’s largest hedge funds, first as head of treasury, covering liquidity, hedging, margin and financing, and subsequently as COO of Brevan Howard Asset Management with responsibility for global operational risk management, valuation and trade execution across all BH funds, valued at $40bn.
Since 2015 David’s projects have included set up and authorisation of a new commercial bank, high frequency trading firm restructuring, fund wind downs, treasury management projects (repo and passive hedging solutions) and educational programmes for civil servants/monetary authorities/central banks covering macroeconomics, fixed income and debt management. David has established offices in New York and Amsterdam.