Two undergrad degrees in Banking and Finance (Russia + UK). No work experience. ML/quant finance projects. CFA L1 cleared (>90th percentile). Udacity certificate in AI for trading. GMAT (89th...
Math undergrad (Top 4 UK) and ongoing ML postgrad (Top 4 UK), Summer research project in probability theory and master's dissertation in mathematical finance
Bachelors in Mathematics from mediocre college, Masters in Statistics from top 10 public US college
8 months as Business Finance Analyst for big commercial bank, 6 months as Quantitative Risk...
Grad student in top US/UK FinEcon program
FT: 4yrs in S&T (structuring + trading)
UG: plain-vanilla Finance major
4 non-quant internships (VC, PE, IB, S&T)
Good ECs
- Mathematical Science Major with minors in Data Science and Business Administration in US College
- 2 finance internships in top 3 French Bank
- current actuarial intern in Fortune 25 insurance...
CompSci/Business double Major from top 20 US Uni. 1 Trading Internship, 1 SWE Internship, 6 Months relevant full-time work ex in HFT and 1-year full-time work ex in Biotech in a CorpFinance role
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