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I work as a portfolio manager covering fixed income and multi-asset strategies. I've been in the industry for the past 12 years and served in both buy-side and sell-side positions. I started my career off as a derivatives trader and progressed into portfolio management over the past 7 years. I enjoy teaching finance and quantitative topics related to trading and investments. I run a small business as an independent contractor where I provide training and courses in quantitative finance, statistical modeling, and risk management.
Senior lecturer at Edge Business School covering fixed income, derivatives, and risk management. I helped prepare CFA and FRM candidates who were taking the exam for the designation.
I also customize and administer bespoke training for risk management professionals in the capital markets.
Finance and Quantitative Finance
Computational Modeling and Statistics
Masters in Finance (INSEAD)
BSc Hons Applied Mathematics (University of the Witwatersrand)
BSc Actuarial Science and Mathematical Statistics (University of the Witwatersrand)