Huatai Securities Co Ltd
Rao Fu is a seasoned professional in risk management, currently serving as Vice President of Risk Management at Huatai Securities Co., Ltd. since March 2021. Prior experience includes roles as a Quantitative Associate and Quantitative Analyst at Goldman Sachs from April 2016 to January 2021, and a Quantitative Summer/Fall Analyst at Paradigm Asset Management LLC, where significant contributions included enhancing a MATLAB back testing framework and developing data cleaning routines in Python and SQL. Rao Fu holds a Master's Degree in Mathematics in Finance from New York University and a Bachelor's Degree in Mathematics with Economics from UCL. Early education was completed at Beijing No.2 Middle School.
This person is not in any teams
This person is not in any offices
Huatai Securities Co Ltd
HUATAI SECURITIES CO., LTD. is an integrated securities company in China. The Company's main businesses include wealth management business, institutional service business, investment management business and international business. Its wealth management business includes securities, futures and options brokerage, financial product sales, capital intermediation and other services. The Institutional service business mainly includes investment banking, research and institutional sales, investment trading and asset custody. The investment management business mainly includes asset management of securities companies, management of private equity funds and asset management of fund companies. Its international business mainly includes investment banking, brokerage and wealth management, research and institutional sales, equity derivatives, fixed income sales and trading, as well as asset management.