Profil
Ms. Lauren Polen is a Partner & Head of Trading at Baymount Management LP.
Ms. Polen was previously employed as a Principal by FIG LLC and an Analyst by Galtere Ltd.
She received her undergraduate degree in Management Science from Massachusetts Institute of Technology.
Tidigare kända positioner av Lauren Polen
| Företag | Position | Slut |
|---|---|---|
Baymount Management LP
Baymount Management LP Investment ManagersFinance Baymount aims to generate through-cycle, uncorrelated, absolute returns in global markets through the implementation of their discretionary global macro strategy which focuses on G7 and the liquid emerging markets. The firm through their clients, pursues a global macro strategy, utilizing a discretionary, top-down approach. Baymount makes predominantly directional investments in short, medium and long-term opportunities, through a strategy of both active trading and investment in equities, currencies, commodities, credit and fixed income instruments, and other instruments related to any such asset classes, whether listed or over the counter. | Trading-Equity | 2020-07-01 |
FIG LLC
FIG LLC Investment ManagersFinance Fortress is a global asset manager that raises, invests in and/or manages private equity funds, hedge funds, and publicly traded permanent capital vehicles. The firm offers a variety of investment strategies across its core businesses units. Each strategy involves significant risks, many of which are outside of their control. | Företagsledare/Principal | - |
Galtere Ltd.
Galtere Ltd. Investment ManagersFinance Galtere manages a global macro hedge fund that focuses on the commodity markets. The firm's flagship strategy is distinguished from pure commodity strategies and from traditional global macro strategies by blending elements of both. They approach the markets from a distinctive standpoint paying close attention to how commodity fundamentals influence other asset classes. Typically, commodities make up the bulk of their portfolio, with the next largest exposure in foreign exchange, followed by fixed-income and equity trades. Galtere combines discretionary theme-based investment selections with a proprietary technical process for pricing and risk management. Their returns generally have a very low correlation to most asset classes while offering low volatility. Galtere's investment philosophy is forward looking and incorporates historical perspective. The firm believes this hybrid view of global opportunities is an integral part of investment success. Galtere seeks to provide absolute and uncorrelated returns through a detailed, top-down investment process which is combined with disciplined bottom-up risk management. The firm focuses on identifying future trends to recognize new investment patterns and regime shifts that may dynamically alter global markets and uses this input to structure long-term investment themes. Galtere also manages a strategy that involves private equity investments across a diverse range of global agribusiness opportunities. The firm's investment universe includes arable farmland, livestock and crop production, irrigation and water management, agricultural warehousing and yield-enhancing technologies. Investments in this strategy have a minimum investment horizon of 7 years. | Analyst-Equity | - |
Lauren Polens utbildningar
Erfarenheter
Innehade positioner
Aktiva
Inaktiva
Börsnoterade företag
Privata företag
Relationer
Första gradens relationer
Företag kopplade till första graden
Man
Kvinna
Styrelseledamöter
Chefer
Kopplade företag
| Privata företag | 4 |
|---|---|
FIG LLC
FIG LLC Investment ManagersFinance Fortress is a global asset manager that raises, invests in and/or manages private equity funds, hedge funds, and publicly traded permanent capital vehicles. The firm offers a variety of investment strategies across its core businesses units. Each strategy involves significant risks, many of which are outside of their control. | Finance |
Massachusetts Institute of Technology
Massachusetts Institute of Technology Finance/Rental/LeasingFinance Functions as a College/University | Finance |
Galtere Ltd.
Galtere Ltd. Investment ManagersFinance Galtere manages a global macro hedge fund that focuses on the commodity markets. The firm's flagship strategy is distinguished from pure commodity strategies and from traditional global macro strategies by blending elements of both. They approach the markets from a distinctive standpoint paying close attention to how commodity fundamentals influence other asset classes. Typically, commodities make up the bulk of their portfolio, with the next largest exposure in foreign exchange, followed by fixed-income and equity trades. Galtere combines discretionary theme-based investment selections with a proprietary technical process for pricing and risk management. Their returns generally have a very low correlation to most asset classes while offering low volatility. Galtere's investment philosophy is forward looking and incorporates historical perspective. The firm believes this hybrid view of global opportunities is an integral part of investment success. Galtere seeks to provide absolute and uncorrelated returns through a detailed, top-down investment process which is combined with disciplined bottom-up risk management. The firm focuses on identifying future trends to recognize new investment patterns and regime shifts that may dynamically alter global markets and uses this input to structure long-term investment themes. Galtere also manages a strategy that involves private equity investments across a diverse range of global agribusiness opportunities. The firm's investment universe includes arable farmland, livestock and crop production, irrigation and water management, agricultural warehousing and yield-enhancing technologies. Investments in this strategy have a minimum investment horizon of 7 years. | Finance |
Baymount Management LP
Baymount Management LP Investment ManagersFinance Baymount aims to generate through-cycle, uncorrelated, absolute returns in global markets through the implementation of their discretionary global macro strategy which focuses on G7 and the liquid emerging markets. The firm through their clients, pursues a global macro strategy, utilizing a discretionary, top-down approach. Baymount makes predominantly directional investments in short, medium and long-term opportunities, through a strategy of both active trading and investment in equities, currencies, commodities, credit and fixed income instruments, and other instruments related to any such asset classes, whether listed or over the counter. | Finance |
















