2011 -2014 Quantitative Developer, Counterparty Credit Risk and CVA @
2010 -2011 Front Office Developer, Liquid Products @
2008 -2010 Quantitative Developer, Energy Derivatives @
2006 -2008 Senior Systems Developer, Commodities Technology @
2005 -2006 Research Associate, Asset Allocation @
Viktor Popov Education
Moscow Institute of Physics and Technology (State University) (MIPT)
Master of Science (Mathematics, Applied Physics)
1995-2003
Viktor Popov Skills
Python
Quantitative Finance
Algorithmic Trading
Derivatives
Market Risk
Commodity
Financial Modeling
Fixed Income
Valuation
Portfolio Management
Credit Risk
Commodities
Financial Risk
Trading
Hedging
Electronic Trading
Options
Equities
Trading Systems
C/C++
VBA
C++
C#
Rust
Monte Carlo Simulation
Energy Derivatives
Stochastic Modeling
NumPy
Viktor Popov Summary
Viktor Popov, based in New York, NY, US, is currently a Director, Senior Trading Strategist, US Rates Options Desk at Bank of America Merrill Lynch. Viktor Popov brings experience from previous roles at A.R.T. Advisors, LLC, Bank of America Merrill Lynch and RBC Capital Markets. Viktor Popov holds a 1995 - 2003 Master of Science in Mathematics, Applied Physics @ Moscow Institute of Physics and Technology (State University) (MIPT). With a robust skill set that includes Python, Quantitative Finance, Algorithmic Trading, Derivatives, Market Risk and more. Viktor Popov has 2 emails and 2 mobile phone numbers on RocketReach.
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