Exchange Student (1 month) (China Center for Economic Research (CCER))
2009 - 2009
The University of Hong Kong
Exchange Student (Half year) (Economics and Finance)
2009 - 2009
Yifan Gu's Skills
Portfolio Management
Securitization
Credit Analysis
Performance Attribution
Investments
Risk Management
Real Estate
Stress Testing
VBA
Sensitivity Analysis
Yifan Gu's Summary
Yifan Gu, based in Shanghai, China, is currently a Risk Manager at Taiping Asset Management Co., Ltd., bringing experience from previous roles at Wanjia Asset Management Co., Ltd., Standard Chartered Bank and McKinsey & Company. Yifan Gu holds a 2010 - 2011 MSc in Risk Management and Financial Engineering @ Imperial College London. With a robust skill set that includes Portfolio Management, Securitization, Credit Analysis, Performance Attribution, Investments and more, Yifan Gu contributes valuable insights to the industry. Yifan Gu has 2 emails on RocketReach.