2012 -2014 Manager, Market and Trading Credit Risk @
2010 -2012 Senior Analyst Validation @
2009 -2010 Risk Analyst @
Shan Chen Education
University of Waterloo
Ph.D. (Economics)
Nankai University
B.B.A. (Business Administration)
Simon Fraser University
M.A. (Economics)
Shan Chen Skills
Portfolio Management
Banking
Fixed Income
VBA
Capital Markets
Financial Modeling
Quantitative Analytics
Quantitative Finance
Risk Management
Stress Testing
Credit Derivatives
Bloomberg
Market Risk
Credit Risk
Economic Capital
Basel II
Financial Risk
Derivatives
Interest Rate Derivatives
Shan Chen Summary
Shan Chen, based in New York, NY, US, is currently a Director at RBC Capital Markets. Shan Chen brings experience from previous roles at RBC. Shan Chen holds a Ph.D. in Economics @ University of Waterloo. With a robust skill set that includes Portfolio Management, Banking, Fixed Income, VBA, Capital Markets and more. Shan Chen has 3 emails on RocketReach.
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