2007 -2014 Senior Fund Manager and Head Of Quantitative Equity Research @
1999 -2001 Structured Products Manager @
1996 -1999 Head of Market Risk Control @
1994 -1996 Risk Analyst @
1994 -1996 Risk Analyst @
1988 -1993 Assistant Manager @
Vis Nayar Education
London Business School
MSC in Finance (Finance)
1997-1999
Imperial College London
BSc (Eng) (Electrical Engineering)
1985-1988
Vis Nayar Skills
Valuation
Financial Modeling
Quantitative Finance
Funding
Quantitative Analytics
Capital Markets
Equity Research
Emerging Markets
Investment Strategies
Structured Products
Market Risk
Investment Management
VBA
Portfolio Management
Mutual Funds
Trading
Asset Management
Alternative Investments
Quantitative Research
Bloomberg
Fixed Income
Financial Markets
Investments
Portfolio Optimization
Asset Managment
FX Options
Hedge Funds
Asset Allocation
Financial Risk
Equity Derivatives
Equities
Derivatives
Bonds
ETFs
Options
Social Media
Public Speaking
Customer Service
Business Strategy
Management
Research
Financial Analysis
Analysis
Marketing
Strategy
Vis Nayar Summary
Vis Nayar, based in Singapore, is currently a Chief Investment Officer at Eastspring Investments. Vis Nayar brings experience from previous roles at HSBC. Vis Nayar holds a 1997 - 1999 MSC in Finance in Finance @ London Business School. With a robust skill set that includes Valuation, Financial Modeling, Quantitative Finance, Funding, Quantitative Analytics and more. Vis Nayar has 2 emails on RocketReach.
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