Rez A. is a finance professional with extensive experience in market and valuation risk management, particularly focused on equity structured products. Currently serving in the Market Risk role at Julius Baer since October 2020, Rez A. previously held positions at Credit Suisse as a Valuation Risk specialist and as a Quantitative Analyst at Derivative Partners AG, where expertise in independent price verification and development of proprietary pricing engines was showcased. Earlier experience includes contributions at Lombard Odier as a Systematic/Algorithmic Trader and analytical roles at Bahman Investment Inc. and SAMIX Software Development CO. Educational qualifications include a master's degree in Financial Mathematics from EPFL, a master's degree in Economics from Sharif University of Technology, and a bachelor's degree in Industrial Engineering from the same institution.
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