Numerix
Vladimir Pavlov is an accomplished finance professional with extensive experience in quantitative research and financial engineering. Currently serving as Vice President of Quantitative Research in Risk at Numerix since March 2010, Vladimir specializes in quantitative analytics for derivative valuations, XVA, and risk, while also focusing on product development. Previously, as Director of Financial Engineering, responsibilities included product testing, development, and structuring. Prior to Numerix, Vladimir held the position of Senior Quantitative Analyst at Tactical Global Management, where the focus was on developing and testing investment strategies in FX and fixed income. Earlier career experience includes a role as Senior Lecturer in Finance at QUT, with a focus on financial econometrics and market risk. Vladimir holds a PhD in Financial Econometrics from The Australian National University, a Master's degree in Economics from the New Economic School, and a Bachelor's degree in Laser and Optical Engineering from Bauman Moscow State Technical University.
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Numerix
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Numerix is the leading provider of innovative capital markets technology solutions and real-time intelligence capabilities for trading and risk management. Committed to out-of-the box thinking, the exploration and adoption of latest technologies, Numerix is dedicated to driving a more open, fintech oriented, digital financial services market.