David Schreiner
Trader & Risk Manager
Chicago, IL, US
David works for the Capital Markets Group within the Financial Risk Management practice in Chicago. This group advises clients in banking, insurance, and funds management on financial risks, hedging strategies, and trading operations.
Experience
Since joining the Chicago practice in 2011, David has been responsible for trading derivatives to cover U.S. risk exposures on a number of Milliman's variable annuity and protection strategy hedging programs.
Prior to joining Milliman, David was a sergeant in the U.S. Army.
Professional Designations
- Series 3 Securities License
- Financial Risk Manager (FRM)
Education
- Bachelor of Science, Economics, Northwestern University
Publications
Read their latest work
Article
Overnight trading strategies
21 March 2024 - by Neil Dissanayake, Victor Huang, Ram Kelkar, Nima Shahroozi, David Schreiner, Brendan Tease, Bas Polder
The real-time risk management of futures-based hedging programs can benefit materially by expanding trading coverage to the overnight markets.
Article
Milliman Derivatives Survey 2020: Key findings
16 December 2020 - by Neil Dissanayake, Victor Huang, Ram Kelkar, Peter Lin, David Schreiner, Nima Shahroozi, Brendan Tease
This report summarizes key findings from the 2020 update to Milliman's survey of derivative usage for risk management in the global life insurance industry.
Article
The end of LIBOR
25 October 2019 - by Josh Dobiac, Ram Kelkar, Jeanne Russo, David Schreiner
Major initiatives are under way to reform interest rate benchmarks and move away from Interbank Offered Rates (IBOR) to overnight near risk-free rates.
Article
Milliman Derivatives Survey 2017
29 January 2018 - by Neil Dissanayake, Victor Huang, Ram Kelkar, Peter Lin, David Schreiner, Chunpu Song
This report summarizes key findings from the 2017 update to Milliman’s survey of derivative usage by the global insurance industry.