Risk Analytics Portfolio Management Analyst

in Financial Services preferred. Recent graduates with strong academic backgrounds are also encouraged to apply. Excellent English... construction, optimization, CAPM, multi-factor risk models, market risk, credit risk, and VaR. Strong analytic, quantitative...

Lugar: Reino Unido - Monterrey, N.L. | 10/12/2025 00:12:50 AM | Salario: S/. No Especificado | Empresa: MSCI