London, United Kingdom
Investment Risk Analyst Global Real Estate at Aviva Investors
Investment Management
Education
The University of Hull 2008 — 2012
BSc (Econ) Economics International, Economics & Finance
Inha University 2012 — 2012
Summer School, Asian Politics & International Relations
2011 — 2011
Summer School, International European Finance
The University of Hong Kong 2010 — 2011
Economics & Finance, Business
European Business School Oestrich-Winkel 2009 — 2009
Summer School, Business within Europe
Experience
Aviva Investors July 2014 - Present
Aviva Life Insurance Company September 2012 - June 2014
Hull University Investment and Trading Society August 2011 - July 2012
Aviva plc June 2010 - August 2010
Skills
Team Management, Investment Strategies, Equity Derivatives, VBA, with profit funds, Word, Microsoft Word, Portfolio Management, Financial Modeling, Derivatives, Investment Banking, Presentations, Sales Presentations, International Equities, Principles of Finance, Tax-advantaged..., Insurance, Pensions, Currency Exchange, Fixed Annuities, Actuarial Consulting, Mandarin, Investments, Actuarial Science, Stochastic Modeling, Life Insurance, Solvency II, Microsoft Office, Pension Funds, Excel, policy rectification, Actuarial Exams, Eurobonds, Regression, Equities, Technical Presentations, Microsoft Excel, Stock Trading