Sergii Piskun is a seasoned quantitative research analyst currently working at Bankhaus Metzler since February 2020. Prior experience includes serving as a Quantitative Market Risk / Overlay Manager at Feri Family Trust GmbH from October 2016 to January 2020, where responsibilities encompassed quantitative market risk management, overlay management for multi-asset portfolios, and the application of derivatives strategies using programming languages such as VBA, Matlab, R, and Python. Previous roles include positions at Solactive focused on ETF strategy implementation and client consulting, as well as internships at Deutsche Bank AG and Feri Family Trust GmbH emphasizing risk management and PnL analysis. Sergii Piskun holds a Master's degree in International Economics and Economic Policy from Goethe University Frankfurt and two degrees in Banking and Financial Support Services from the Banking Institute in Cherkasy, Ukraine.
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