Jonathan Loflin is the Chief Risk Officer at GSR. Before GSR, he was a Senior Portfolio Manager managing all aspects of the global derivatives relative value business at Mariner Investment Group (Coria Capital). Prior to that, he was Partner & Senior Portfolio Manager at BlueMountain Capital Management, running similar strategies. He started his career as a derivatives quant at Goldman Sachs, focusing on interest rate products and counterparty credit risk management. Mr. Loflin studied Artificial Intelligence & Finance at the Massachusetts Institute of Technology, earning two Bachelor's degrees and a Master's degree at the same time. He also completed the MIT Sloan Executive Program in Management & Leadership.