Risk Analytics Associate
relationships through proactive follow up on issues raised by clients. Analyze market performance and data for our clients... portfolio theory, VaR and stress testing, what-if analysis, CAPM, multi-factor risk models, market risk, credit risk...
Lugar: Reino Unido - Ciudad de México | 06/11/2025 18:11:38 PM | Salario: S/. No Especificado | Empresa: MSCI