Dan Cheeseman

Dan Cheeseman

Portfolio Manager-Equities at Guggenheim Partners Investment Management LLC

Finance
Consumer Services

Profile

Mr. Daniel R.
Cheeseman
is a Portfolio Manager at Guggenheim Partners Investment Management LLC.
He manages Guggenheim’s enhanced equity and derivative overlay accounts.
He seeks to use options to boost returns relative to various benchmarks while reducing overall portfolio risk.
Currently he manages $3.6bn of derivative-linked assets.
Prior to assuming this role in 2014, he joined Guggenheim in 2011 as a Senior Research Analyst covering Equity Derivatives and Liquid Alternatives.
For six years prior to joining Guggenheim, Mr. Cheeseman was a research analyst covering equity and volatility derivatives at Merrill Lynch and Morgan Stanley.
Mr. Cheeseman holds a MS in Mathematical Finance from the Courant Institute at NYU and BAs in Mathematics and Economics at the University of California, San Diego.

Dan Cheeseman active positions

CompaniesPositionStart
Portfolio Manager-Equities 2013-12-31
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Former positions of Dan Cheeseman

CompaniesPositionEnd
Analyst-Equity -
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Training of Dan Cheeseman

University of California San Diego Undergraduate Degree
New York University Graduate Degree

Experiences
Positions held

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Connections

100 +

1st degree connections

4

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Linked companies

Private companies2

Finance

Finance

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