Mr. Rubin specializes in financial services matters, including disputes related to funds, mergers and acquisitions (M&As), insolvency, and contract-related litigation and arbitration damages.

With over 15 years of financial sector experience spanning global markets and various asset classes, Mr. Rubin is uniquely positioned to assist clients with a wide range of matters in the UK, Europe, and internationally. His expertise includes hedge funds, alternative investments, financial and economic modeling, valuations, broker-dealer and exchange memberships, and risk management.

Mr. Rubin is the co-founder of two quant hedge funds and advised on the launch and structuring of a third, overseeing everything from capital raising and fund structuring to daily operations and investor relations. He has also built and scaled several investment platforms. His hedge fund and asset management background includes applying fundamental, quantitative, and quantamental strategies across both public and private markets.

Additionally, Mr. Rubin has hands-on trading and research experience involving long/short equities, government bonds, mid-to high-frequency strategies, and discretionary short-selling, with a particular focus on forensic accounting, structural inefficiencies, and event-driven opportunities. He possesses a deep knowledge of complex quant models, including those involving artificial intelligence (AI) tools, signals, and strategies.

Practices
Education

London Business School
MBA

Tel Aviv University
BSc in Computer and Electrical Engineering

Languages

Hebrew (native)

Arabic (basic)