Rahul Sheorain, Cfa, Msc Email & Phone Number
@barclays.com
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Who is Rahul Sheorain, Cfa, Msc? Overview
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Rahul Sheorain, Cfa, Msc is listed as Vice President, Market Risk at Barclays Investment Bank, based in India. AeroLeads shows a work email signal at barclays.com and a matched LinkedIn profile for Rahul Sheorain, Cfa, Msc.
Rahul Sheorain, Cfa, Msc previously worked as Structured Derivatives at Credit Suisse and Associate, Exotic Derivatives Trading at Morgan Stanley. Rahul Sheorain, Cfa, Msc holds Master Of Science (Msc), Investment Management from Icma Centre, Henley Business School, University Of Reading, United Kingdom.
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About Rahul Sheorain, Cfa, Msc
CFA level 2 cleared. MSc in Investment Management at ICMA Centre, Henley Business School, UK
Listed skills include Fixed Income, Bloomberg, Financial Analysis, Financial Modeling, and 37 others.
Rahul Sheorain, Cfa, Msc's current company
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Rahul Sheorain, Cfa, Msc work experience
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Vice President, Market Risk
Currentvolatility analysis, structured products, market colour
Associate, Exotic Derivatives Trading
Pricing/Hedging/Trading exotic derivative products such as Structured Notes, OTC Swaps and Options across equities, Fixed Income, FX, Rates and Commodities for institutional investors, hedge funds and private banks.Options pricing, Greeks, volatility trading, hedging and option trading strategies.Pricing structured products and calculating the price/premium.Pin risk hedging, manage delta risk and execution of hedges.Volatility-spot dynamics such as sticky strike, sticky delta, rolling super skew and its effect on hedging.Hedging of Vanna, pricing Volga risk in products. Local vol vs stochastic vol model.Make money on credit risk on structured notes funding based on credit events.Risk management of digital and barrier options.Understanding of vol and correlation skew and term structure.Suitable overhedges to cap delta and gamma for smooth, finite and tradable.Execute orders on the exchange of options and futures. Provide market color, news, flow information, derivative strategies and trading ideas as well as helping with other business request.
Structured Products Specialist, Quant And Valuations
Risk management of Equity/Hybrid structured products from valuation, pricing and hedging perspective that were traded across Asia Pacific, EMEA and US region. Products/Strategies coveredAutocallable, Digitals, Barriers, Accumulators/Decumulators, Asianing, Quantos, Composites, Leveraged performance, Dual direction trades, Knock-In and Knock-Out, Dispersion, Correlation Swap, Varswaps, Hybrid Range Accrual, Dual Range Accrual, Reverse convertible, barrier reverse convertible, Vol target.
Analyst
Rahul Sheorain, Cfa, Msc education
Frequently asked questions about Rahul Sheorain, Cfa, Msc
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What company does Rahul Sheorain, Cfa, Msc work for?
Rahul Sheorain, Cfa, Msc works for Barclays Investment Bank.
What is Rahul Sheorain, Cfa, Msc's role at Barclays Investment Bank?
Rahul Sheorain, Cfa, Msc is listed as Vice President, Market Risk at Barclays Investment Bank.
What is Rahul Sheorain, Cfa, Msc's email address?
AeroLeads has found 1 work email signal at @barclays.com for Rahul Sheorain, Cfa, Msc at Barclays Investment Bank.
Where is Rahul Sheorain, Cfa, Msc based?
Rahul Sheorain, Cfa, Msc is based in India while working with Barclays Investment Bank.
What companies has Rahul Sheorain, Cfa, Msc worked for?
Rahul Sheorain, Cfa, Msc has worked for Barclays Investment Bank, Credit Suisse, Morgan Stanley, Credit Suisse Ag, and Sc Packaging Ltd.
How can I contact Rahul Sheorain, Cfa, Msc?
You can use AeroLeads to view verified contact signals for Rahul Sheorain, Cfa, Msc at Barclays Investment Bank, including work email, phone, and LinkedIn data when available.
What schools did Rahul Sheorain, Cfa, Msc attend?
Rahul Sheorain, Cfa, Msc holds Master Of Science (Msc), Investment Management from Icma Centre, Henley Business School, University Of Reading, United Kingdom.
What skills is Rahul Sheorain, Cfa, Msc known for?
Rahul Sheorain, Cfa, Msc is listed with skills including Fixed Income, Bloomberg, Financial Analysis, Financial Modeling, Finance, Investment Banking, Microsoft Office, and Portfolio Management.
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