2011 -
2012 Analyst, Credit Risk Capital Analytics @
Peter Plank Education
Corvinus University of Budapest
Master’s Degree
2009
-
2011
Corvinus University of Budapest
Bachelor’s Degree
2006
-
2009
Peter Plank Skills
Quantitative Finance
Stochastic Processes
Matlab
VBA
SQL
R
Mathematical Modeling
Time Series Analysis
Derivatives
Equity Derivatives
Stress Testing
FDSF
CVA
Risk Management
Quantitative Risk
Market Risk
Counterparty Risk
Credit Risk
Data Analysis
Analysis
Business Analysis
Analytics
Strategic Planning
Customer Service
Project Management
Peter Plank Summary
Peter Plank, based in New York, NY, US, is currently a Executive Director, Client Portfolio Risk and Margining at Morgan Stanley. Peter Plank brings experience from previous roles at Morgan Stanley. Peter Plank holds a 2009 - 2011 Master’s Degree @ Corvinus University of Budapest. With a robust skill set that includes Quantitative Finance, Stochastic Processes, Matlab, VBA, SQL and more. Peter Plank has 1 emails on RocketReach.
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