Yan Yan, CFA, FRM has a strong background in financial risk management and analysis. Yan Yan has worked at Two Sigma as a Quantitative Risk Manager, at PartnerRe Capital Markets as an Investment Risk Analyst, at Morgan Stanley as a Market Risk Analyst, and interned at Barclays Capital in Market Risk. With a Master's degree in Financial Engineering from Baruch College, Yan Yan brings expertise in developing risk models, conducting stress testing, analyzing portfolio risks, and enhancing risk control processes. Yan Yan has extensive experience in monitoring key portfolio measures, revamping risk reports, and improving risk analysis accuracy. Yan Yan's work involves collaborating with various teams to ensure effective risk management and communicate issues to senior management.
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