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Vik Shah Location
United Kingdom
Vik Shah Work
Portfolio Manager @ (January 2026 - Present)
Portfolio Manager @ (December 2024 - January 2026)
Co-Head of European Financials Credit Trading @ (January 2023 - December 2024)
Executive Director @ (January 2022 - December 2024)
Vice President - Credit Trading @ (April 2017 - December 2024)
Credit Trader @ (July 2014 - March 2017)
Credit Sales @ (January 2014 - July 2014)
S and T Summer Analyst @ (June 2013 - August 2013)
S and T Summer Analyst – Asset Liability Management @ (June 2012 - August 2012)
Spring Intern @ (April 2011 - April 2011)
Associate @ (August 2009 - June 2010)
Vik Shah Education
The London School of Economics and Political Science (LSE)
Bachelor of Science (Mathematics and Economics)
2010-2013
Wilson's Grammar School 2007-2009
Vik Shah Skills
Trading
Microsoft Word
Credit Analysis
Social Media
Credit Derivatives
Derivatives
Bonds
Financial Analysis
Microsoft Office
Management
Corporate Finance
Valuation
Public Speaking
Finance
Investments
Rates
Capital Markets
Hedge Funds
Capital Structure
Financial Modeling
Vik Shah Summary
Vik Shah, based in United Kingdom, is currently a Portfolio Manager at Jain Global. Vik Shah brings experience from previous roles at Jain Global and J.P. Morgan. Vik Shah holds a 2010 - 2013 Bachelor of Science in Mathematics and Economics @ The London School of Economics and Political Science (LSE). With a robust skill set that includes Trading, Microsoft Word, Credit Analysis, Social Media, Credit Derivatives and more. Vik Shah has 1 emails on RocketReach.
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