BBVA Group
Rasoul ArabSalmani, CFA, FRM, currently serves as a Market Risk Associate (Business Execution II) at BBVA, where responsibilities include analyzing market and credit risk exposures across a diverse range of financial products and ensuring accurate end-of-day pricing. Prior experience includes a role as a Portfolio Analyst at Novin I.B. Investment Consulting, focusing on optimizing returns through portfolio performance monitoring and asset allocation strategies, as well as a Financial Analyst position at Saman Bank Brokerage Company, where data-driven investment strategies contributed to significant revenue growth. Additional experience includes commodity trading at Tavazon Bazar Brokerage and serving as a Teaching Assistant at Allameh Tabataba'i University. Rasoul holds a Master’s in Financial Mathematics from North Carolina State University and an MBA in International Business, alongside a Bachelor's degree in Business Administration and Management from Allameh Tabataba'i University.
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