- Built and maintained complex financial models to evaluate derivative pricing, market risk, and portfolio performance. - Conducted quantitative analysis and stress testing to assess risk exposures and measure potential impacts present - Prepared reports and presentations on derivative strategies, hedging techniques, and risk mitigation. - Collaborated with traders, portfolio managers, and risk management teams to support decision-making. - Expertise in open Interest Analysis, FII data analysis, Rollover Analysis and hedging strategies. - Quant based modelling to identity direction of the market. - Writing monthly reports on Indices. Well versed with chart reading and pattern analysis
Keyskills: derivatives trading portfolio management risk management