I am experienced in quantitative modeling and data science, as well as fundamental finance with a focus on credit and real estate portfolio management. My work aims to unify the two, using quantitative tools to derive insights into credit, macro, and climate risk, while also calculating and visualizing the downstream portfolio and business impacts of these risks for a non-quantitative audience.I attended The University of Pennsylvania in the Jerome Fisher Management and Technology program. I graduated in May of 2015 with a Bachelors in Economics from the Wharton School of Business (Finance and Management concentrations), in addition to a Bachelors in Science and Engineering in Materials Science and Engineering and a minor in Mathematics.As of December 2020, I completed a Masters of Science in Analytics at the University of Chicago, focusing on applied data science in the field of investment finance.
Listed skills include Microsoft Excel, Credit Quantitative Modeling, Fixed Income Portfolio Management, Futures Trading, and 22 others.