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Master of Science in Risk Management (Financial Risk Management, Corporate Governance, Investor Behaviour, Political Risk)
2013-2014(Macro-Sovereign Framework, Quantitative Risk Measurement, Bankruptcy & Restructuring)
2014-2014Corporate Finance, Behavioral Finance, Structured Finance, Investor Behaviour
2013-2013Associate in Risk Management (Risk Management Principles and Practices, Risk Assessment, Risk Financing)
2007-2008Bachelor of Business Administration (BBA) (Risk Management and Insurance)
2003-2007Bachelor of Business Administration (BBA) (Economics and International Business)
2003-2007Baccalaureate (Economics and Social Sciences)
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