2001 -
2007 Research and Teaching Assistant, Dept. of Statistics @
Robert Wania Education
Technische Universität Dresden
PhD (Statistics, Credit Portfolio Modelling)
2001
-
2007
Robert Wania Skills
Credit Risk
Quantitative Analytics
Risk Management
Solvency II
Financial Risk
Economic Capital
Market Risk
Portfolio Management
Banking
Finance
Insurance
Financial Modeling
Enterprise Risk Management
Derivatives
Financial Analysis
Valuation
Financial Markets
Fixed Income
Management
Robert Wania Summary
Robert Wania, based in Munich, BY, DE, is currently a VP Investment Strategy and Private Debt and Opportunities at Allianz Investment Management. Robert Wania brings experience from previous roles at Allianz Life, Allianz Group and Allianz SE. Robert Wania holds a 2001 - 2007 PhD in Statistics, Credit Portfolio Modelling @ Technische Universität Dresden. With a robust skill set that includes Credit Risk, Quantitative Analytics, Risk Management, Solvency II, Financial Risk and more. Robert Wania has 3 emails on RocketReach.
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