Highly analytical and results oriented finance professional with more than 10 years of exceptional experience in a variety of complex financial disciplines including derivatives, fixed-Income products, equities, and currency related products. Holds a double-doctorate degree in finance and ...
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Highly analytical and results oriented finance professional with more than 10 years of exceptional experience in a variety of complex financial disciplines including derivatives, fixed-Income products, equities, and currency related products. Holds a double-doctorate degree in finance and mathematics as well as a master’s degree in financial engineering. Strategic thinker with quantitative and conceptual problem solving abilities, who is able to provide senior management with solutions and identify opportunities for improvement. Possess in depth technical knowledge of buy-side multi-asset portfolio management, portfolio risk, and, market risk, performance attribution, and pension fund liability management techniques. Able to perform investment and equity research. Well versed in stress testing algorithms, portfolio optimization including stochastic optimization. Excellent programming knowledge of C#, Java, C++, Scala, Matlab and R.
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