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Andy Pham is a Macro and FICC Quant Strategist at Bank of America at Bank of America. He possess expertise in stata, matlab, r, economic research, international economics and 3 more skills.
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Vice President, Macro And Ficc Quant Strategist, Commodities And Qis ResearchBank Of America Jan 2022 - PresentCharlotte, Nc, Us -
Associate, Macro And Ficc Quant Strategist, Commodities And Qis ResearchBank Of America Jun 2019 - Jan 2022Charlotte, Nc, UsInitiated and publish Quantamental Insights, providing analysis and commentary on cross asset macro and strategy, risk premia strategies, systematic portfolios, predictive models, and cross-asset monitorsConduct Global Commodity Research team’s macro and ad hoc research, and contributed to publications including Commodity Strategist, Global Energy Weekly, Global Metals Weekly, and Global Liquid Markets WeeklyDevelop and manage suite of cross-asset risk premia strategies, predictive models, systematic portfolios, cross-asset indicators, and macro monitors for Commodities and Quantitative Investment Strategies teams Develop and contribute to quant research in portfolio inflation hedging, cross-asset linear risk-premia, and systematic rates and commodity volatilityConduct conference and individual client calls, and assist with external conference panels covering macro, cross-asset strategy, and risk premia strategies -
Fund Internship ProgramInternational Monetary Fund Jun 2018 - Aug 2018Washington, Dc, UsEstimated cross-sectional time-series models on bank level panel data and identified unconditional relationship between bank lending and holdings of government securitiesEstimated dynamic panel models using system GMM to show evidence of portfolio rebalancing motives for banks’ holdings of government securities and related impact on profitabilityPresented work in internal IMF seminar series and drafted working paper -
Graduate Summer InternBarings Jun 2017 - Aug 2017Charlotte, North Carolina, UsConducted research project in international asset pricing to identify macroeconomic fundamental and commodity price risk factors in emerging market equity indices, culminating in country-specific parsimonious multi-factor models assessed by out of sample forecasts.Examined existence of lead/lag relationships among EM asset classes on a country by country basis with Granger causality tests and ADL (autoregressive distributed lag) models. Constructed and backtested long-short trading strategy based on the models' predictions at weekly and monthly horizons.Constructed and back-tested trading strategy based on existing local currency bond portfolio strategy to examine whether fundamentals-based over/underweight views on currency and rates exposures to EM countries would have also generated alpha if expressed in equities. -
Software Qa AnalystLawrence Berkeley National Laboratory May 2012 - Aug 2013Berkeley, Ca, Us
Andy Pham Skills
Andy Pham Education Details
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Columbia UniversityEconomics -
Columbia UniversityEconomics -
University Of California, BerkeleyEconomics -
La Canada High School
Frequently Asked Questions about Andy Pham
What company does Andy Pham work for?
Andy Pham works for Bank Of America
What is Andy Pham's role at the current company?
Andy Pham's current role is Macro and FICC Quant Strategist at Bank of America.
What is Andy Pham's email address?
Andy Pham's email address is ap****@****ley.edu
What is Andy Pham's direct phone number?
Andy Pham's direct phone number is +151064*****
What schools did Andy Pham attend?
Andy Pham attended Columbia University, Columbia University, University Of California, Berkeley, La Canada High School.
What skills is Andy Pham known for?
Andy Pham has skills like Stata, Matlab, R, Economic Research, International Economics, Macroeconomics, Econometrics, Python.
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