Jonathan Loflin

chief risk officer, GSR

Jonathan Loflin is the chief risk officer at GSR. He has over 20 years of experience in markets, across all major macro asset classes (equities, foreign exchange, commodities, rates, credit, and crypto) and regions. Prior to GSR, he was a senior portfolio manager running all aspects of the global derivatives relative value business at Mariner Investment Group (Coria Capital) and, prior thereto, was partner and senior portfolio manager at BlueMountain Capital Management running similar strategies. He began his career as a derivatives quant at Goldman Sachs focusing on interest rate products and counterparty credit risk management. Jonathan studied artificial intelligence & finance at the Massachusetts Institute of Technology, earning two bachelor’s degrees and a master’s degree concurrently — in addition to subsequently completing the MIT Sloan Executive Program in management & leadership.