Stefan Vezenkov

Risk Manager at Alaric Securities

Stefan Vezenkov is a Risk Manager and Investment Consultant at Alaric Securities. Stefan holds a Bachelor of Arts degree in Economics and Mathematics from the American University in Bulgaria, a Master's degree in Finance from the University of National and World Economy, and a High School Diploma in Mathematics and Computer Science from the High School of Mathematics & Science - Kyustendil.

Location

Sofia, Bulgaria

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Alaric Securities

Alaric Securities is an FSC regulated broker-dealer serving professional traders and institutions since 2011. TECHNOLOGY Alaric is dedicated to improving trader experience by constantly expanding its trading technology. Every component of the pre-trade, trade, and post-trade cycle is built on the latest technology stack, securing stable, scalable and latency-efficient environment and performance. Our HAMMER professional trading platform and Trading APIs are robust trading tools complementing our unparalleled access to multiple exchange and off-exchange venues. SERVICES From low-latency electronic execution, to high-touch Equities and Fixed Income derivatives, Alaric services the full spectrum of funds and asset managers, as well as active retail traders and trader groups. CUSTODY Relying on a network of global custodians, Alaric is able to service a large spectrum of asset classes: equities, bonds, derivatives, and structured notes, thus covering clients’ cross-margining needs.