Bergstein Financial

ergstein Financial Today Announced That Steven Giang Is Promoted to Vice President of the Bergstein Financial Forex Division

 

Central, Hong Kong -- (SBWIRE) -- 08/03/2009 -- Bergstein Financial, an alternative investment management firm that specializes in managed futures, with offices in New York, Zurich and Hong Kong, today announced that Steven Giang is promoted to Vice President of the Bergstein Financial Forex Division in Hong Kong.

“Forex is the fastest-growing of our market sectors,” said Bergstein Financial CEO Adam Barron “Steven is a strategic business development professional with impeccable credentials. He has been a force in creating deep trading liquidity for numerous currency pairs, and developing technology efficiency to process billions in our daily forex volume. Steven Giang also has been instrumental in building international bank relationships and trading lines.”

Prior to joining Bergstein Financial, Mr. Giang was director of strategic business development and a member of the Advisory Board of ABC Futures. From 2003 to 2005 he was SVP at Hermes Financial where he ran their FX division, managed sales and the 24-hour market-making desk, spearheaded their entry into online Bergstein Financial and led the creation of their first forex fund.

As the head of the Bergstein Financial Forex Division Mr. Steven Giang will stress the Bergstein Financial business model, building the BEST products and distribution channels for those products.

About Bergstein
Bergstein Financial is an alternative investment management firm that specializes in managed futures, with offices in New York, Zurich and Hong Kong. Founded by President Boden Steinberg in 1987, Bergstein Financial uses a systematic, technically-based approach to trade a diversified portfolio of more than 50 global financial and commodity futures markets with a discretionary overlay. With the ability to take long or short positions in a wide variety of markets, and lack of dependence on favorable economic conditions, Bergstein Financial's returns have historically shown low to no correlation to bond and stock markets, thus offering the potential to diversify a traditional investment portfolio, as well as a portfolio of alternative investments.