Farrukh Dadabaev has a strong background in finance and risk management, having worked in capital markets credit at Mizuho from 2018 to 2025. Currently, they are focused on ETCs and multi-assets at HANetf. Previously, Farrukh gained experience in treasury at EBRD and risk management at Barclays. They earned a Master of Science in Quantitative Finance from the University of Strathclyde and a Bachelor of Science in Mathematical Science with Finance and Economics from City, University of London.
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