Vladimir Kobelev is a seasoned finance professional with extensive experience in market risk and investment analysis. Currently positioned at BNP Paribas as a Market Risk specialist since September 2023, Vladimir previously held the role of Senior Investment Analyst at GAM Investments from January 2022 to June 2023. Prior to that, as Head Of Trading at Pacific Asset Management from July 2017 to October 2021, Vladimir focused on systematic portfolio strategies and trading systems development. Vladimir's earlier career included a tenure as Director at Deutsche Bank (2007-2016), where responsibilities encompassed rates and FX options as well as hybrid and inflation options. Academic credentials include a Master’s Degree in Computational Finance from Carnegie Mellon University's Tepper School of Business and a Ph.D. in Physics from the Russian Academy of Sciences. Research experience spans multiple institutions, including the University of Illinois at Urbana-Champaign and Rice University from 1999 to 2005.
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