Shawn Gibson

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.