DV

Dmitry Volkov

Senior Market Risk Manager (Equities)

Dmitry Volkov is a seasoned professional in trading and risk management, currently serving as a Senior Market Risk Manager (Equities) at HSBC since 2024. Dmitry's previous experience includes roles as a Market Risk Consultant at EY, where they focused on derivatives and risk model validation, and as a Derivatives Trader at Sberbank CIB UK, specializing in tactical trading and market risk management. They also worked at VTB Capital as an Equity Derivatives Trader and held an Equity Derivatives Quant position at Renaissance Capital, where they excelled in statistical modeling and derivatives pricing. Dmitry began their career at Rosbank, contributing to FX/IR risk hedging and liquidity management. They hold a Master's degree in Financial Engineering from Columbia University and are currently pursuing a Bachelor of Science in Econometrics and Quantitative Economics at the Higher School of Economics.

Location

United Kingdom

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