Shawn (Xiaoxiang) Ma, CFA, FRM, is a Market Risk Manager specializing in Credit Trading and an experienced risk and investment professional. Holding a Bachelor of Science in Telecommunications Engineering from Queen Mary University of London and a Master's degree in Risk Management and Financial Engineering from Imperial College Business School, Shawn has built a robust career in market risk analysis and trading. Currently, Shawn serves as a VP - Market Risk Officer at Citi, following roles as a Senior Market Risk Analyst at Eni Trading & Shipping, a Volcker Risk Analyst at HSBC Global Banking and Markets, and a Quantitative Investment Analyst at Signia Wealth Limited. Shawn is recognized for proficiency in quantitative analysis and risk modeling, along with a strong passion for continuous learning in the financial market.
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