portfolio manager, Balyasny Asset Management
Nitin Tuteja is a portfolio manager at Balyasny Asset Management in Singapore.
He was formerly a managing director and portfolio manager at Dymon Asia’s multi-strategy hedge fund. His primary focus was on global macro and multi-asset strategies with responsibility for developing relative value volatility and correlation, dispersion and hedging strategies across all asset classes and global markets.
Prior to joining Dymon in 2020, he worked as a lead portfolio manager in Geode’s absolute return hedge fund portfolio management team in Boston. His primary focus was on multi-asset volatility and risk premia strategies with responsibility for managing a team developing global macro, relative value, correlation, risk management and hedging strategies across equities, foreign exchange, rates, credit and commodities.
Nitin previously held roles at Delaware Investments in Philadelphia and Norges Bank Investment Management where he was responsible for the analysis and management of multi-asset portfolios. He started his career at the derivative desks of Barclays, BNP Paribas and Standard Chartered and developed expertise in trading volatility and correlation across various asset classes. He is a CFA and CAIA charter holder and also has a Certificate in Quantitative Finance (CQF).
Nitin holds a Master of Financial Engineering from Carnegie Mellon University and Nanyang Technological University, a Master of Business Administration from The Wharton School, University of Pennsylvania, and a degree in Engineering from the National University of Singapore.