Targetted field :
Financial Risk Management and Analytics
Bharadwaj Kavuluru holds a Master's degree in Financial Engineering and Risk Analytics from Rensselaer Polytechnic Institute. His primary area of focus during this period has been Risk Management and Analytics. His coursework involved work around risk management, derivatives pricing theories and methodologies, time series analysis, bond optimization, numerical computing, and implementing trading strategies.
He is now a part of the Graduate Rotation Program at Barclays, NY. He is always keen to learn more about risk management and analytics and to work in a team of talented and smart people. He is continually learning more about quantitative finance, risk management and fixed income analytics.
Specialties: Risk Management and Analytics, Risk Technology, Time Series Analysis, Sensitivity and Scenario Analysis, Stress Testing, Risk Reporting.
Programming in Excel VBA, R, Mat lab, and Python
FRM Level I Candidate
New York, NY
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