Bel joined 1832 Asset Management L.P. and its related companies in 2018 and is an Associate Portfolio Manager focused on Multifactor strategies and Private Real Asset funds.
Previously, Bel worked at a competitor as a Senior Quantitative Market Risk Analyst. His responsibilities included monitoring risk of High yield mandate and covered call option strategy. Prior to this, Bel spent more than ten years as Senior Quantitative Trading Analyst at another company with a focus on designing and implementing trading strategies. He holds a Bachelor of Applied Mathematics, a master’s degree in financial Engineering and is pursuing the Charter Financial Analyst designation.