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Ralf Hermann Location
Munich, BY, DE
Ralf Hermann Work
2007 -now Market Risk, Analytics and Reporting @
1998 -2007 Market Risk Control @
Ralf Hermann Education
Universität Ulm
Dr. rer. pol. (Business Ecomomics)
1994-1998
Universität Ulm
Dipl. math. oec. (Wirtschaftsmathematik)
1990-1994
Ralf Hermann Skills
Banking
Fixed Income
Interest Rate
Basel II
Financial Modeling
Derivatives
Financial Risk
Stress Testing
Credit Risk
Interest Rate Derivatives
Regulatory Capital
Risk Management
Risk Model Validation
Monte Carlo Simulation
Basel III
Market Risk
ICAAP
Investment Banking
Historical Simulation
Financial Markets
Basel 2.5
Ralf Hermann Summary
Ralf Hermann, based in Munich, BY, DE, is currently a Market Risk, Analytics and Reporting at UniCredit Bank AG. Ralf Hermann brings experience from previous roles at HypoVereinsbank. Ralf Hermann holds a 1994 - 1998 Dr. rer. pol. in Business Ecomomics @ Universität Ulm. With a robust skill set that includes Banking, Fixed Income, Interest Rate, Basel II, Financial Modeling and more. Ralf Hermann has 1 emails on RocketReach.
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