Alok Anand
Head of Portfolio and Model Management, Market Risk @Nomura
New York, NY, US
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WORK HISTORY
Mar 2025 — Present
Head of Portfolio and Model Management, Market Risk @Nomura
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EDUCATION
2005 — 2009
Birla Institute of Technology, Mesra
BE
2020 — 2021
CQF Institute
Certificate in Quantitative Finance
2012 — 2014
Indian Institute of Management, Ranchi
PGDM
ABOUT ALOK ANAND
Manager, Market Risk (Forex & Interest Rate Derivative) at ICICI Bank • FRM…
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