Ivan Samkov

Manager, Enterprise Market Risk Control @TD Securities

Toronto, CA
MOBILE NUMBERS
+91 *********19

Signup · Get unlimited contacts

WORK HISTORY

Jan 2024 — Present

Manager, Enterprise Market Risk Control @TD Securities

View department →

Enterprise market risk stress testing design.Internal and regulatory stress tests (EWST, DFAST/CCAR). Reverse stress testing design.

EDUCATION

2021 — 2023

Schulich School of Business - York University

MBA, Financial Engineering and Risk Management

2010 — 2012

Higher School of Economics

Master of Economics (M.Econ), Stock and Investments Market

2003 — 2009

National Research Nuclear University MEPhI (Moscow Engineering Physics Institute)

Master's in Engineering Physics (M.Eng), Electronics

SKILLS

EquitiesFinancial AnalysisOptionsProject ManagementBloombergAsset ManagementMarket RiskVbaRisk ManagementQuantitative Finance

ABOUT IVAN SAMKOV

Certified Financial Risk Manager (FRM) with experience in development and implementation of risk models and policies, financial products. Expertise in market risk analysis (derivatives, equities, FX, fixed income), portfolio risk, and business systems analysis for risk management.

This profile is compiled from publicly available professional sources. Unifers is not affiliated with or endorsed by LinkedIn. Request removal of this profile.

Ivan Samkov — Manager, Enterprise Market Risk Control at TD Securities in Toronto, CA | Unifers