Christopher McCann is the Chief Risk Officer of Graham Capital Management, L.P. (“Graham”), responsible for identifying, monitoring, and acting upon financial risks relative to financial returns in Graham’s diverse trading strategies. Mr. McCann is also a member of the firm’s Investment and Risk Committees. He became an Associated Person of Graham effective May 29, 2009 and registered as a Principal effective June 24, 2019. He was previously registered as a Principal of Graham effective September 12, 2012 through February 22, 2016. Prior to joining Graham in May 2009, he was a trader at RBS Greenwich from April 2003 to November 2008, where he served as a liaison between the trading desk and IT Staff and developed several key trading applications. From 2000 to 2003, Mr. McCann was a Vice President at BNP Paribas, where he was a trader and developer specializing in fixed income. From 1998 to 2000, Mr. McCann was an Associate at Dresdner Kleinwort Benson. From 1992 to 1996, he was a Project Engineer at Exxon Research and Engineering. Mr. McCann received a B.S. in Chemical Engineering and a B.S. in Systems Science Engineering from Washington University in St. Louis in 1992, an M.S. in Industrial Engineering in 1995 from Rutgers University, and an M.B.A from NYU Stern School of Business in 1998.