2005 -
2006 Senior Quantitative Analyst Fixed Income @
2003 -
2005 Quantitative Portfolio Manager Fixed Income @
2000 -
2003 Portfolio Risk Manager @
1995 -
2000 Senior Scientific Assistant at the Mathematical Institute @
1989 -
1989 Assistant Researcher and Developer @
Raphael A. Education
The University of Bonn
Doctor of Philosophy (PhD) in Mathematics (Algebraic Topology, Geometry and Dynamical Systems)
1994
-
2000
RWTH Aachen University
Master’s (Mathematical Physics)
1983
-
1991
École normale supérieure Paris-Saclay
Diplôme d’Études Approfondies de Physique Théorique“, 1re année
1988
-
1989
Raphael A. Summary
Raphael A., based in London, GB, is currently a Global Head of Traded Risk Independent Model Review at HSBC. Raphael A. brings experience from previous roles at Barclays International, Corporate and Investment Bank, Markets Quantitative Anal, LSEG (London Stock Exchange Group), Credit Suisse and Barclays Investment Bank. Raphael A. holds a 1994 - 2000 Doctor of Philosophy (PhD) in Mathematics in Algebraic Topology, Geometry and Dynamical Systems @ The University of Bonn. Raphael A. has 2 emails on RocketReach.
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