Javier Gonzalez
Chief Investment Officer
“ Hedge fund manager of the Oracle Fund through Wharton GC. Design, backtest, and implement high-probability strategies for trading and investing based on the confluence of global macro, technical, and fundamental analysis. ”
Hedge fund manager of the Oracle Fund through Wharton GC. Design, backtest, and implement high-probability strategies for trading and investing based on the confluence of global macro, technical, and fundamental analysis.
Previously Javier has been Equity Strategist for Morgan Stanley and economist for the Bank of Canada. He has taught at Wharton and Penn. He obtained a PhD, MA in economics from Penn, and a BA (hons) from UBC.
In his youth, Dr. Gonzalez obtained 1st place in the National Math Olympiad and 3rd place in the National Physics Olympiad.