• HSBC

Andreas Katsibas

Wholesale and Retail Credit Risk Analytics

Andreas Katsibas possesses extensive experience in financial analysis and model development, beginning as a Quantitative Equity Research Analyst at HSBC Asset Management - Sinopia from 2007 to 2010, where equity relative valuation models for Developed and Emerging Markets were developed. From 2010 to 2013, as a Fixed Income and Currency Analyst at HSBC Global Asset Management, Andreas focused on strategic asset allocation models and valuation for Fixed Income and FX fund managers. Currently, at HSBC since 2013, Andreas has led the end-to-end development of Advanced Internal Rating Based (A-IRB) models for credit risk analytics, with a current role as Senior Model Development Lead in Global Finance Analytics since August 2022. Educational credentials include a Master’s Degree in Risk Management in Finance and Insurance from Université Paris X Nanterre and a Bachelor’s Degree in Econometrics and Quantitative Economics from Université de Cergy-Pontoise.

Location

London, United Kingdom

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