Shawn Gibson of Gibson Volatility Management has over 13 years of investment experience with expertise in portfolio volatility management and yield enhancement, asset allocation, and low-correlation investment strategies. Shawn was formerly the Director for the Alternative Investments platform for BB&T Asset Management. In this role, Shawn developed and led the platform of various non-traditional strategies used by BB&T to improve portfolio diversification and mange portfolio risk. Prior to his departure, Shawn was responsible for managing or co-managing over $600 million in commitments. Previously, Shawn headed up the Equity Derivatives Group for Scott & Stringfellow, another BB&T affiliate, and was a market-maker for one of the largest international options trading firms in the country in San Francisco, CA and Greenwich, CT. Shawn graduated with a BA degree in Business from the University of Virginia. Shawn was selected as Top Forty Under Forty by Richmond Style Magazine for his professional and civic accomplishments.
Volatility Management Of Growth Portfolios - Shawn Gibson - Gibson Volatility Management
November 23, 2009