Summary

I intent to apple MARKET RISK AND MODEL DEVELOPMENT, SUMMER 2022 ASSOCIATE. The specific description of this working opportunities consists of risk and valuation, Var reporting, collateral management, counterparty credit risk reporting, and governance. I believe my skills and knowledge can suit this job.

I’m currently a Sophomore in University of Toronto, study Economics and Python. Currently preparing Level 1 Financial Risk Management (FRM) certification exam in 2022 May. And 5 years of individual investor experience, with A shares, Hong Kong shares, US shares, digital currency, and Swiss bank forex futures account. I have rich investment experience in options, individual stocks, digital currencies, and commodities. I’m interested these working opportunities and believe my knowledge is perfectly matching the job description. I wish i have chance to having this opportunities.

Age

19

Graduation Year

2024

Education

  • University of Toronto - Economics

CV Summary

2
Languages