Max Zhang, FRM is an experienced professional with a background in quantitative research, risk analysis, and asset liability management. Max has worked in prominent companies such as Fortitude Re, Transamerica, and Aegon Asset Management, where Max has demonstrated expertise in developing valuation models, conducting credit risk analysis, and supporting investment strategies. With a Bachelor of Arts degree in Mathematics, Economics, and Business from Cornell College, Max brings a strong analytical skill set to their roles in the finance industry.
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