London, United Kingdom
Analyst at Morgan Stanley
Financial Services
Education
Fordham University 2011 — 2013
Master, Quantitative Finance
Jilin University 2007 — 2011
Bachelor, Management
Experience
Morgan Stanley September 2015 - Present
Morgan Stanley November 2013 - September 2015
Standard & Poor's August 2013 - November 2013
UBS October 2012 - May 2013
GreenPoint June 2012 - September 2012
Skills
Team Leadership, Microsoft Excel, Stochastic Calculus, Commodity, Risk Management, Bloomberg, Monte Carlo Simulation, R, Time Series Analysis, Data Analysis, Forecasting, Equity Research, Derivatives, Quantitative Finance, Macroeconomics, Financial Modeling, SAS, Python, Trading, Financial Markets, Capital Markets, Bloomberg Terminal, Hedge Funds, Economics, SPSS, Portfolio Optimization, Capital IQ, Financial Statement..., DCF Valuation, Portfolio Management, Market Risk, Excel, Valuation, Matlab, Econometrics, VBA, Stata, Options, Financial Analysis, Eviews, Fixed Income, Asset Management, C++, Statistics, HTML, Statistical Modeling, Equities, Mandarin, PowerPoint, Quantitative Analytics