David Kuenzi
Head of Risk Management
David Kuenzi is responsible for understanding, tracking and managing risk at Glenwood. This involves the ongoing maintenance and enhancement of Glenwood's risk processes and tools and for ensuring the maintenance of robust operational risk controls within a structured framework. Prior to joining Glenwood in 2003, David was a vice president at Nuveen Investments where he held a number of roles, most recently in research, development and risk management. Prior to joining Nuveen, David was a small-cap stock analyst at Perritt Capital Management.
David received a BA from Western Michigan University, an MFA from the University of Iowa, an MBA in Analytic Finance and International Business from the University of Chicago, and an MS in Financial Mathematics from the University of Chicago. He is a CFA charterholder. His articles on investing and risk management have appeared in The Journal of Portfolio Management, The Journal of Investing and The Journal of Performance Measurement.