Carnegie Mellon University - Tepper School of Business
Master of Science (MS) (Computational Finance)
2003 - 2006
Columbia University, New York
Applied Mathematics
2004 - 2005
Indian Institute of Technology (Banaras Hindu University), Varanasi
Chemical Engineering
1991 - 1995
Banaras Hindu University
1991 - 1995
New York University
Rajiv Varma's Skills
Trading Strategies
Portfolio Management
Electronic Trading
Derivatives
Data Analysis
Trading Systems
FX Options
Trading
Business Analysis
Equity Derivatives
Rajiv Varma's Summary
Rajiv Varma, based in New York, NY, US, is currently a Quantitative Developement , Bloomberg Barclays Fixed Income Indices at Bloomberg LP, bringing experience from previous roles at Global Trading Systems, Allston Trading, Tykhe Capital and Citigroup. Rajiv Varma holds a 2003 - 2006 Master of Science (MS) in Computational Finance @ Carnegie Mellon University - Tepper School of Business. With a robust skill set that includes Trading Strategies, Portfolio Management, Electronic Trading, Derivatives, Data Analysis and more, Rajiv Varma contributes valuable insights to the industry. Rajiv Varma has 2 emails and 1 mobile phone number on RocketReach.