Daniel Fernandez , has been managing trading portfolios using equities, bonds, and commodities for over 20 years. He received his BBA in Finance from Texas A&M University in College Station in 1995 and a Certicate of Financial Management from Rice University in 2002. Early in his career he worked with various Energy and Private Equity Firms with progressing responsibilities over trading, marketing, and risk management functions. He has held positions as Vice President Trading with Sycamore Growth, Senior Director Trading Risk Management with DCP Midstream, Senior Manager Risk Consulting with Accenture, and held Trading Positions with Brookfield Capital, Merchant Energy Group, and Dynegy.
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Email Contact: firstname.lastname@example.org
dF Capital Management's investment strategy leverages both fundamental and technical approaches to asset management while using diversification and risk management controls to ensure an overall disciplined investment approach.
While no indicator in the financial world is an end all or perfect solution in itself, dF Capital Management believes using multiple research sources and risk management strategies to design tailored solutions for clients. Our recommended solutions always put our clients interests before our own and this focus remains the cornerstone of our business.