Yang Lin Email & Phone Number
Who is Yang Lin? Overview
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Yang Lin is listed as Vice President Risk Management at Taikang Asset Management, a with 3166 employees, based in Beijing, China. AeroLeads shows a matched LinkedIn profile for Yang Lin.
Yang Lin previously worked as Quantitative Analyst at Sunshine Asset Management and Summer Intern at 华夏基金管理有限公司 China Asset Management Co., Ltd.. Yang Lin holds Msc, Financial Mathematics from University Of Warwick - Warwick Business School.
Email format at Taikang Asset Management
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About Yang Lin
"True glory consists in doing what deserves to be written; in writing what deserves to be read." - Pliny the Elder
Listed skills include Asset Allocation, Risk Management, Performance Attribution, Convertible Securities, and 5 others.
Yang Lin's current company
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Yang Lin work experience
A career timeline built from the work history available for this profile.
Quantitative Analyst
Summer Intern
Yang Lin education
Msc, Financial Mathematics
Postgraduate Degree, Pure Mathematics
Bachelor Of Economics, Finance
Frequently asked questions about Yang Lin
Quick answers generated from the profile data available on this page.
What company does Yang Lin work for?
Yang Lin works for Taikang Asset Management.
What is Yang Lin's role at Taikang Asset Management?
Yang Lin is listed as Vice President Risk Management at Taikang Asset Management.
Where is Yang Lin based?
Yang Lin is based in Beijing, China while working with Taikang Asset Management.
What companies has Yang Lin worked for?
Yang Lin has worked for Taikang Asset Management, Sunshine Asset Management, and 华夏基金管理有限公司 China Asset Management Co., Ltd..
How can I contact Yang Lin?
You can use AeroLeads to view verified contact signals for Yang Lin at Taikang Asset Management, including work email, phone, and LinkedIn data when available.
What schools did Yang Lin attend?
Yang Lin holds Msc, Financial Mathematics from University Of Warwick - Warwick Business School.
What skills is Yang Lin known for?
Yang Lin is listed with skills including Asset Allocation, Risk Management, Performance Attribution, Convertible Securities, Structured Investments, Quantitative Investment Strategies, Market Risk, and Asset Management.
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