Senol Ozturk
Investment Senior Vice President at Prudential Financial
- Role
- Investment Senior Vice President at Prudential Financial
- Location
- Newark, NJ, US
- LinkedIn followers
- 500 followers
About Senol Ozturk
Experienced Vice President Of Investments with a demonstrated history of working in the financial services industry. Strong finance professional skilled in Hedging, Derivatives, ALM, and Investments.
Experience
Investment Senior Vice President
Jan 2014 — Present · Newark, NJ, US
Chief Investment Office - Modeling and Analytics- Lead, develop and promote a team of ten associates focused on modeling of capital market sensitive insurance guarantees, asset-liability management strategies, stress and scenario testing as well as attribution analysis- Responsible of end-to-end development and daily monitoring of asset-liability trading grid for Prudential’s $120 billion annuities and retirement businesses- Cooperate with CIO portfolio management and trading teams by researching new strategies and providing metrics to be used in daily trading and hedging activity- Collaborate with risk and finance groups by running deterministic, stochastic and stochastic on stochastic analyses to support economic and statutory capital frameworks, liquidity management process as well as financial reporting and forecast- Model new types of insurance products with embedded capital market risks and provide input on impacts of asset-liability management strategies- Participate in economic and actuarial assumptions update process by providing subject matter expertise on investments and implementing all updates in CIO owned models in a controlled, timely and accurate manner- Take part in actuarial asset adequacy and cash flow testing processes by providing support for derivatives trades and other non-traditional types of asset classes- Provide first-line validation support and asset-liability modeling expertise across the CIO for other low risk models.
Education
University of Connecticut School of Business
Ph.D., Economics
2002 — 2007
Boğaziçi University
B.S., Mathematics
1997 — 2002
University of Connecticut
M.A., Economics
2002 — 2004
Skills
- Sas
- Valuation
- Data Analysis
- Analysis
- Actuarial
- Actuarial Science
- Ms Office Tools
- Economics
- Financial Risk
- Hedging
- Risk
- Alm
- Matlab
- Investments
- Derivatives
- C++
- Financial Modeling
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