Nicolae Mera

Head of Emea Market Risk Analytics and Global Head of Rates Fx Credit Irc Xva Market Risk Analytics @Morgan Stanley

London, GB
MOBILE NUMBERS
+91 *********19

Signup · Get unlimited contacts

WORK HISTORY

Oct 2018 — Present

Head of Emea Market Risk Analytics and Global Head of Rates Fx Credit Irc Xva Market Risk Analytics @Morgan Stanley

View department →

London, GB

EDUCATION

1994 — 1998

Babes-Bolyai University

BSc, Mathematics

1998 — 2001

University of Leeds

PhD, Applied Mathematics

SKILLS

Market RiskData MiningQuantitative InvestingQuantitative FinanceDerivativesNumerical AnalysisData AnalysisFinancial MarketsAlgorithmsTradingFinancial ModelingQuantitative AnalyticsPortfolio ManagementCapital MarketsVarApplied MathematicsStatistical ArbitrageEquity DerivativesEconometricsTime Series AnalysisRisk ManagementC++Frtb

ABOUT NICOLAE MERA

Senior market risk quant possessing in depth knowledge of risk regulations and market risk modelling across all asset classes- Experienced in managing quantitative analytics teams across multiple projects and workstreams- Over 15 years\' experience in quantitative modelling as applied to market risk, systematic trading, applied mathematics and engineering- Experienced in design and implementation of computational systems and IT solutions in finance and engineering (risk engines, trading systems, large scale optimization, large datasets analysis & processing)

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

Nicolae Mera — Head of Emea Market Risk Analytics and Global Head of Rates Fx Credit Irc Xva Market Risk Analytics at Morgan Stanley in London, GB | Unifers