Analyst, Risk Management
Beware of the most dangerous words in investing and in life generally … “impossible” and “for sure”. 0% and 100% probabilities are assumed frequently and usually unknowingly. This is dangerous.
As an Analyst on the Investment Management team, Manos Sigalas focuses on options and other derivative strategies to enhance portfolio returns and manage risk.
Prior to joining Gluskin Sheff in 2018, Manos worked at 1832 Asset Management as a Portfolio Manager, Liquid Alternatives. He began his career as an Associate with OMERS Capital Markets where he held various positions in Fixed Income, Foreign Exchange, Derivatives, Equity Research and Global Macro.
What is the most unexpected thing you want to achieve?
Baking a 100% whole wheat, naturally leavened loaf of bread using just wheat flour, water and salt. Sounds simple, yet it’s more challenging than you might imagine
What is your favourite place in the world?
Greece. I’m biased, but the language, culture, cuisine, history, weather and landscape are simply beautiful
What is your own investment philosophy?
Risk management is key. Avoiding large drawdowns is essential to preserving and growing capital over time
Contact DetailsEmail email@example.com
DESIGNATIONS & SPECIALTIES
- Chartered Financial Analyst (CFA) charterholder
- Registered Portfolio Manager
- Bachelor of Arts in Business Economics, York University (Magna Cum Laude)
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