Asset Management Analyst (Quantitative Research & Data Science) at Generali Investments.
Master's in Finance graduate from the London School of Economics interested in quantitative finance, data science and implementing sophisticated trading algorithms. Ex Research Fellow at University of California, Berkeley.
- MSc Finance (full-time): London School of Economics (LSE)
- BSc Financial Mathematics: University of Ljubljana, Faculty of Mathematics and Physics
- R
- Python
- VBA
- SQL
- Matlab
- Microsoft Office
- HTML
- CSS
- LaTeX
- Mathematica