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Alex Luk Location
London, GB
Alex Luk Work
Risk Manager @ (October 2025 - Present)
Vice President @ (January 2019 - September 2025)
Manager, Banking and Capital Markets @ (September 2017 - January 2019)
Liquidity Risk Manager @ (February 2016 - September 2017)
Equities Trader @ (August 2011 - February 2016)
Alex Luk Education
University of Oxford
Bachelor of Arts (B.A.) (Mathematics and Statistics)
2008-2011
Alex Luk Skills
Financial Modeling
Bloomberg
Trading
VBA
Corporate Actions
Equities
Index Arbitrage
Equity Funding
Delta One
Equity Derivatives
Microsoft Excel
Statistical Modeling
Java
Excel Models
Ruby on Rails
SQL
PostgreSQL
Risk Management
Liquidity Risk
Liquidity Management
Python
Microsoft Word
Financial Analysis
Microsoft Office
Data Engineering
Strategy
PowerPoint
Banking
Research
R
Ilaap
Alex Luk Summary
Alex Luk, based in London, GB, is currently a Risk Manager at Alphadyne Asset Management. Alex Luk brings experience from previous roles at Deutsche Bank, Deloitte and Scotiabank. Alex Luk holds a 2008 - 2011 Bachelor of Arts (B.A.) in Mathematics and Statistics @ University of Oxford. With a robust skill set that includes Financial Modeling, Bloomberg, Trading, VBA, Corporate Actions and more. Alex Luk has 1 emails on RocketReach.
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