David Rogal is a portfolio manager for BlackRock’s unconstrained and total return bond funds (BSIIX, MPHQX). The strategies employ a global macro investment process across interest rate, interest rate derivative, foreign exchange, credit, and equity derivative markets. David implements systematic and event-driven trading strategies, with a focus on interest rates and volatility. He also helps oversees fund management, asset allocation, and market data analysis.
David has been with Blackrock for over 10 years (since June 2006). David has a BA in Biology and Economics from Cornell University.