Rafael Rafailov is an experienced analyst in Quantitative Investment Strategies at Goldman Sachs since July 2016, previously holding roles at the firm as a summer intern in 2015. Prior to joining Goldman Sachs, Rafael served as an Equity Research Officer and Risk Manager at Berkeley Investment Group from August 2012 to May 2016, where expertise in corporate valuation, public equities research, macroeconomic research, and portfolio management was developed. Rafael also gained experience as a summer intern at UniCredit in 2014, focusing on risk management and credit risk evaluation in derivative portfolios. Rafael holds a Bachelor of Arts in Applied Mathematics, Statistics, and Economics with honors from the University of California, Berkeley.
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