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Nick Tunell

Nick is responsible for execution and management of fixed income and cross-asset positions. Before joining X3, Nick was a portfolio manager at Parametric, a subsidiary of Morgan Stanley, where he ran an IG duration-neutral fixed income portfolio. Additionally, he worked with institutional clients to design and implement bespoke derivatives hedging and risk management solutions. Prior to Parametric, Nick held positions at 3M, where he researched and managed fixed income and derivatives strategies for the firm’s benefit plans, and Russell Investments, where he supported volatility strategies. Nick is a CFA and CAIA charter holder and holds a BS in Finance from Montana State University.
Portfolio Manager,
Cross Asset Trading
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