Varoujan Khatchatrian has an extensive background in risk modeling and analytics, having held senior positions in various companies such as Santander US, State Street, and Liberty Mutual Insurance. With a Ph.D. in Economics from Duke University, Varoujan has built and led teams of quantitative analysts, validated models for regulatory compliance, and presented findings to senior leadership and regulators. Varoujan has a strong foundation in econometric analysis and modeling, with a focus on credit risk, probability of default, and dynamic hedging. Throughout their career, Varoujan has demonstrated a commitment to excellence and a deep understanding of complex financial concepts.
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