Jeff Tomasulo views the world through a risk-reward lens
to foresee global trends and earn clients money despite the market. He is a trader and investor with nearly 20 years of experience in a variety of asset classes of varying risk including: options, equities, futures, commodities, treasuries and currencies. With nearly two decades of real world experience on Wall Street and beyond, Jeff specializes in the study of risk and applies this uncertainty to decipher the intricacies of the stock market around the world.
It’s his unique understanding of the risk reward relationship that allows him to help a range of investors live their dreams. From family offices, to high net worth individuals and institutions, his clients understand that he has first applied these strategies to his own portfolio, developing a deep level of trust that that is not commonly found in this industry.
Featured Media Appearances
Reuters: Boeing Shares Could Have Hard Landing
“The Worst Investments to Make in Your 50s”
“Greenwich investment manager seeks to educate kids about finances”