Samar Khan
VP - Head of Investment Risk and Esg Analytics for Asset Owners North America @State Street
Toronto, ON, CA
EMAILS
MOBILE NUMBERS
+91 *********19
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WORK HISTORY
Apr 2022 — Present
VP - Head of Investment Risk and Esg Analytics for Asset Owners North America @State Street
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EDUCATION
2005 — 2009
University of Toronto
Honors B.Sc., Mathematics, Statistics and Biology
2009 — 2010
University of Toronto
Masters, Mathematical Finance
SKILLS
Visual BasicVb.netMatlabPerlSqlRisk AnalysisCpr CertifiedUnixExcelPowerpointBloomberg TerminalPresenterAqua Data StudioNew Business DevelopmentQuality AssuranceClient ServicesClient EngagementClient Relationship BuildingProcess AutomationFinancial ReportingFinancial ModelingFinancial ServicesRisk ManagementQuantitative FinanceMicrosoft ExcelCrmPortfolio ManagementEquitiesFinanceAnalysisDerivativesFixed IncomeFinancial RiskFinancial AnalysisValuation
ABOUT SAMAR KHAN
Risk Management Professional with 15 Years experience in market risk (investment risk)In depth understanding of Asset Owner and Banking Regulatory RequirementsProgramming and Software Development Enthusiast
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