London, United Kingdom
Risk Analyst at Premier Asset Management
Investment Management
Education
Brunel University 2010 — 2011
Master of Science (MSc), Finance, Merit (2:1)
University of Peloponnese 2004 — 2008
Bachelor's degree, Finance, Economics, econometrics, Merit(6.83/10)
first high school of patras 2001 — 2004
Hifh School Diploma, 18/20
Experience
Premier Asset Management May 2014 - Present
Futex Investment & Trading Academy May 2013 - April 2014
National Bank of Greece June 2011 - December 2012
Energy solution systems company July 2008 - June 2009
Skills
Financial Accounting, Financial Modeling, Investments, VAR, Data Analysis, Financial Risk, Liquidity Risk, VBA, Commodity, Econometrics, Risk Management, Matlab, Market Risk, Pricing Optimization, Eviews, Fixed Income, Financial Markets, Portfolio Management, Derivatives, Corporate Finance, Bloomberg, Mathematics, Renewable Energy, Credit Risk, Bond Pricing, Equity Derivatives, Sales, Biofuels, Trading, Economics, Microsoft Excel, Hedge Funds, Hardware Installation, Credit Derivatives, Option Pricing Models, SPSS, Investment Banking, Stress Testing