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Eric Leininger Email & Phone Number

Executive Director, Financial Research and Product Development at CME Group
Location: Chatham, New Jersey, United States 12 work roles 3 schools
1 work email found @cmegroup.com 4 phones found area 973, 646, and 212 LinkedIn matched
✓ Verified May 2026 4 data sources Profile completeness 100%

Contact Signals · 1 work email · 4 phones

Work email e****@cmegroup.com
Direct phone (973) ***-****
LinkedIn Profile matched
3 free lookups remaining · No credit card
Current company
Role
Executive Director, Financial Research and Product Development
Location
Chatham, New Jersey, United States
Company size

Who is Eric Leininger? Overview

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Quick answer

Eric Leininger is listed as Executive Director, Financial Research and Product Development at CME Group, a company with 3677 employees, based in Chatham, New Jersey, United States. AeroLeads shows a work email signal at cmegroup.com, phone signal with area code 973, 646, 212, and a matched LinkedIn profile for Eric Leininger.

Eric Leininger previously worked as Executive Director, Financial Research & Product Development at Cme Group and Market Specialist at Bloomberg Lp. Eric Leininger holds Mba, Finance from Georgetown University.

Company email context

Email format at CME Group

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{first}.{last}@cmegroup.com
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AeroLeads found 1 current-domain work email signal for Eric Leininger. Compare company email patterns before reaching out.

Profile bio

About Eric Leininger

Providing key research insights and critical product development for our clients in interest rates and equities index derivatives.

Listed skills include Fixed Income, Derivatives, Portfolio Management, Equities, and 23 others.

Current workplace

Eric Leininger's current company

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CME Group
Cme Group
Executive Director, Financial Research and Product Development
Chatham, NJ, US
Website
Employees
3677
AeroLeads page
12 roles · 35 years

Eric Leininger work experience

A career timeline built from the work history available for this profile.

Executive Director, Financial Research And Product Development

Chatham, NJ, US

Executive Director, Financial Research & Product Development

Current

Chicago, IL, US

Lead the Equity and Interest Rates Research and New Product Development team that is responsible to create products and content for listed Interest Rate & Equity Index derivatives, the BrokerTec UST, EGB and repo platform, and our alternative asset offerings for Bitcoin and Ether.

May 2020 - Present

Market Specialist

New York, NY, US

  • Top revenue producer for Enterprise Risk and Portfolio Management solution for large sell-side Banks in North America. Help improve returns on capital in trading and investment management businesses through.
  • Market Risk and capital optimization solutions - VaR, Basel 2.5 / 3.0 (FRTB), predictive scenarios.
  • Front Office Risk - interest rate and credit risk, life cycle, mortgage pricing, Vega, P&L Explained.
  • Counterparty Risk - Full XVA analytics for CVA/DVA, FVA, MVA & KVA.
  • Collateral - full OTC and Cleared workflow, SIMM, and collateral optimization.
  • Valuations - Full independent valuations of multi-asset securities from the basic to the highly exotic.
Mar 2014 - May 2020

Partner

London, GB

Institutionalized the hedge fund’s investment team and helped it grow AUM from under $3 billion to over $5 billion. Managed the Investment and Trading teams comprised of 6 research analysts, 2 quantitative researchers and 4 traders to identify, analyze and implement investment decisions. Responsible for all daily portfolio returns, risk management, credit.

2010 - 2013 ~3 yrs

Managing Director

New York, New York, US

  • Portfolio Manager for three distinct fixed income and credit portfolios: $400bn derivative book, $100 billion securities portfolio of treasuries, agencies, mortgages and credit, and a leveraged overlay derivatives.
  • Cumulatively delivered over $1 billion of investment revenue over a 5+ years.
  • Repositioned cash bond portfolio from $75 billion in mortgage backed securities (MBS) into callable agency securities. Callable agency volatility dropped, outperforming MBS and generated significant portfolio returns.
  • Converted all Trust Preferred Securities into Common Equity as per Federal Reserve requirement.
  • Overhauled all risk analytics. I
2009 - 2010 ~1 yr

Director

New York, New York, US

  • Responsible for the trading desk that funded $1 trillion in assets through deposit pricing, institutional certificates of deposit, commercial paper, asset backed commercial paper, repo transactions, FHLB advances, and.
  • Oversaw daily funding of $20 billion and hedging activities that averaged several billion dollars.
  • Portfolio Manager of a $50 billion liquid securities portfolio and a leveraged overlay portfolio that delivered $55mm in revenue in 2008 alone through implementation of a receive fixed 1-year OIS swaps at 4.50%.
  • During the financial crisis spanning late 2007 and 2008 successfully led the funding of Citigroup:
  • Responsible to lead a then delayed 3-year implementation of Quantitative Risk Management (QRM), a valuation, risk, and earning (NIM) forecast system. Created and lead a small multidisciplinary team and delivered.
2006 - 2009 ~3 yrs

Director

New York, New York, US

Fixed Income - Global Rates Proprietary PortfolioRan NY Global Rates Overlay book of $100 million in risk capital and delivered 15% returns. Traded and positioned in USD, EUR, GBP, CAD, AUD, JPY, CHF and NZD in interest rate duration, relative value, curve and volatility as well as positioned for F/X spot and F/X swaps in all currencies.

2003 - 2006 ~3 yrs

Vice President

New York, New York, US

Fixed Income - Business Unit Manager and Structuring SpecialistResponsible for the trading business controls and budget. Structured complex rates products across businesses.

2001 - 2003 ~2 yrs

Associate

New York, New York, US

Received highest possible review ratings in rotations through Capital Markets Trading with multiple offers upon completion.

1999 - 2001 ~2 yrs

Intern

Intern performing financial valuation analysis for privatization deals in former centrally controlled economies. Deals included financial institutions, exchanges, and energy and mining sectors.

May 1998 - May 1999

Managing Lender Of Small Business Lending Program

London, GB

Managed commercial lending operations in three Russian banks with a portfolio of $15 million with a 100% repayment. Trained and supervised a multinational staff of 10.

1994 - 1997 ~3 yrs
Team & coworkers

Colleagues at CME Group

Other employees you can reach at cmegroup.com. View company contacts for 3677 employees →

3 education records

Eric Leininger education

Mba, Finance

Georgetown University

Master'S Degree, Financial Engineering

Stevens Institute Of Technology

Ba, Zoology

Miami University
FAQ

Frequently asked questions about Eric Leininger

Quick answers generated from the profile data available on this page.

What company does Eric Leininger work for?

Eric Leininger works for CME Group.

What is Eric Leininger's role at CME Group?

Eric Leininger is listed as Executive Director, Financial Research and Product Development at CME Group.

What is Eric Leininger's email address?

AeroLeads has found 1 work email signal at @cmegroup.com for Eric Leininger at CME Group.

What is Eric Leininger's phone number?

AeroLeads has found 4 phone signal(s) with area code 973, 646, 212 for Eric Leininger at CME Group.

Where is Eric Leininger based?

Eric Leininger is based in Chatham, New Jersey, United States while working with CME Group.

What companies has Eric Leininger worked for?

Eric Leininger has worked for Cme Group, Bloomberg Lp, Comac Capital, Citi, and Pricewaterhouse Coopers.

Who are Eric Leininger's colleagues at CME Group?

Eric Leininger's colleagues at CME Group include Agnes Gamundoy, Thomas Atkinson, Anthony Mattioli, Oskard Rene Cm, and Andrew Vrabel.

How can I contact Eric Leininger?

You can use AeroLeads to view verified contact signals for Eric Leininger at CME Group, including work email, phone, and LinkedIn data when available.

What schools did Eric Leininger attend?

Eric Leininger holds Mba, Finance from Georgetown University.

What skills is Eric Leininger known for?

Eric Leininger is listed with skills including Fixed Income, Derivatives, Portfolio Management, Equities, Capital Markets, Hedge Funds, Trading, and Swaps.

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