Motivated recent graduate with MS degree in Quantitative Finance & Risk Analytics and hands-on internship experience seeking opportunities in quantitative area . Proven statistical skills with in-depth knowledge in risk management and model development. Proficient in programming for financial econometrics and data analysis.
Honers: Excellent Student of Academic Performance; Excellent Student Leader; Outstanding Graduate.
- CFA Level II Candidate
Principle Component Analysis Application on Stock Return in MATLAB
Portfolio Reconstruction and Risk Analysis for Retirement Fund
Simulation Model Development and Calibration for Options Pricing in MATLAB
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