
Kun Gao
Board of Directors · 2016
Tudor Investment quantitative portfolio manager, systematic equity
Biography
Kun Gao is a Quantitative Portfolio Manager at Tudor Investment Corporation, where he manages a team developing and trading systematic equity strategies in global markets.
Prior to joining Tudor, he was a Portfolio Manager at WorldQuant, L.L.C. where he designed and traded a computer-driven global equity portfolio. Previously, he has worked for Morgan Stanley and Caxton Associates, L.L.C.
Kun holds a B.S. in Probability and Statistics from Peking University and a Ph.D. in Statistics from Yale University.
