David Moore

Managing Director, Head of Macro Trading, Fixed Income, Mizuho Securities USA LLC

David Moore is a Managing Director and Head of Macro Trading within the Fixed Income Division at Mizuho Securities USA, encompassing Secured Financing/Repo, Rates Cash and Derivatives, and Foreign Exchange. At
Mizuho, he is focused on accelerating the growth in these sectors by expanding trading capabilities and product offerings, working across multiple client segments.

David began his career at Morgan Stanley, where he became Head of the Interest Rate Options trading desk in the mid-1990s, eventually becoming Head of Global Rates and Member of the Morgan Stanley Management Committee in 2010. He went on to run US Rates and Global Rates Options at Bank of America from 2011 to 2014, and subsequently was Head of G10 Rates Sales and Trading at BNP in New York from 2016 to 2022.

David is committed to supporting higher education, particularly in Mathematics and Finance, having served as a visiting lecturer in Quantitative Finance at Harvard University in 2016 and also endowing a Mathematics fellowship at Queens’ College, Cambridge.

David holds a MA in Mathematics from Cambridge University and a MBA from Harvard Business School.

He lives in New York City with his wife and two children.