The Team

Michael Zim
Managing Partner

25 years FX Options trading experience including 15 years as a buy side trader. Founded and managed 3 FX Volatility hedge funds including White Marigold Capital (2017-2019) and VS Capital Partners where he was Co-Head of Investments (2009-2013).Senior Portfolio Manager at Bluecrest Capital Management (2015-2016).

Joshua Green
Managing Partner

2 years experience as Head of Trading for Digital Asset Capital Management where he was responsible for cryptocurrency trading and portfolio management activities across linear, synthetic and options strategies. Prior to this Joshua has 5 years experience as a macro Portfolio Manager at an internal proprietary trading desk at ANZ trading FX and interest rates across G10 and Asia linear and non-linear markets.

Dr Ian Gregory

Over 20 years experience in quantitative finance and trading. Most recently Ian established and ran the quantitative, high-frequency equity trading desk at SBI Securities. Prior to this his career stemmed various roles including trading positions at Macquarie Bank and ABN AMRO as well as quantitative roles at firms such as Credit Suisse, Nomura and Westpac. Ian has a PhD in Applied Mathematics from the University of Sydney.


Evgeni Mitkov

Evgeni has 25 years of trailblazing capital markets career, the last 8 years of which are in the blockchain and cryptocurrency space. Evgeni developed innovative FX options trading systems and the first FX option ECN, opened the interbank FX option market to the buy-side. In crypto, Evgeni developed the cross-border rails of the first live CDBC, launched ICOs, several blockchain systems, and advised governments in Europe, Africa and Asia on blockchain strategies.

Adi Dommaraju

Adi has 3 years of experience as a G10 FX Options trader at Morgan Stanley trading both vanilla and first-generation exotic options. Adi also has 18 months experience trading digital asset derivative and option markets on a personal basis.

Scott Weatherill

2 years as Chief Risk Manager for B2C2 Japan, responsible for global risk in Asia, balance sheet optimization and overseeing OTC client pricing. Prior to that 4 years experience trading G10 FX spot and forwards with a focus on AUD, NZD, and JPY short-end for Goldman Sachs Japan.