2018 -
2019 Head of Value-At-Risk and Pricing Models @
2010 -
2018 Head of Value-At-Risk and Pricing Models @
2017 -
2018 Lecturer @
2006 -
2009 Quant @
Jan-Philipp Hoffmann Education
Universitat Autònoma de Barcelona
(Mathematics)
2002
-
2002
Georg-August-Universität Göttingen
(Mathematics)
1993
-
2000
Jan-Philipp Hoffmann Skills
Derivate
Finanzmärkte
Kapitalmärkte
Bankwesen
Finanzmodelle
Kreditrisiken
Marktrisiko
Capital Markets
Risikomanagement
Festverzinsliche Werte
Investmentbank
Risk Management
Change Management
Strategy
Jan-Philipp Hoffmann Summary
Jan-Philipp Hoffmann, based in North Rhine-Westphalia, Germany, is currently a Professor Of Mathematics at Darmstadt University of Applied Sciences. Jan-Philipp Hoffmann brings experience from previous roles at Deutsche Bank, Postbank Deutschland, Hochschule Koblenz (Koblenz University of Applied Sciences) and LBBW Landesbank Baden-Württemberg. Jan-Philipp Hoffmann holds a 2002 - 2002 Universitat Autònoma de Barcelona. With a robust skill set that includes Derivate, Finanzmärkte, Kapitalmärkte, Bankwesen, Finanzmodelle and more. Jan-Philipp Hoffmann has 2 emails on RocketReach.
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