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FRM (Quantitative Analysis, Financial Markets and Products, Valuation and Risk Models, Risk Management)
2016-2017Master of Science (MSc) (Derivatives, Asset Management, Investments, International Macroeconomics, Econometrics)
2011-2014Exchange (MBA fulltime, Finance; Business Administration and Management, General)
2012-2012Diplombetriebswirt (BA) (Major Banking)
2003-2006Find contact details for 700 million professionals.