
Florian Astheimer is a portfolio manager in the volatility strategies team at Feri Trust. He is responsible for managing the OptoFlex and EquityFlex funds, dealing in US equity index options, using systematic absolute return and benchmarking S&P500 strategies. He is a member of the CFA Institute and holds a master’s degree in management from the University of Mannheim with a focus on quantitative investment management and derivatives.









