Loading data, please wait a moment. We are fetching the latest content from the server and validating, organizing, and rendering it to ensure the information you see is accurate, complete, and up to date. Loading speed may be affected by your network, device performance, or the current amount of data, so a brief wait is normal. To avoid extra delays caused by duplicate requests, please don't refresh frequently or repeatedly click buttons, and don't close the page or switch to an offline network. The page will update automatically once the data is ready. If it takes noticeably longer, check your network connection and try refreshing or coming back later. If the issue persists, please let us know so we can investigate. Thanks for your patience and understanding.
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.