Portfolio management Tutors in Saint-Jérôme, Canada
Results 1 - 8 of 8
Education
John Molson School of Business, CFA, MBA, Major Finance, Bachelors of Commerce, GPA - 3.49
Experience
Day-trader at World Trade Securities . Fixed Income, Equity, Accounting, Statistics, Portfolio Management, Economics, Mergers Acquisitions, CFA, Finance Objective: I will provide you with thorough guidance and a comprehensive plan to help you not just know the...
Education
MsC in Engineering with top marks and research assistant of Econometrics for Italian top University. Business Expert in Risk Management....
Experience
Non-parametric statistics - General Linear Models (GLMs) - Generalized Estimating Equations (GEEs) - General Linear Mixte Models (GLMMs) - Multivariate Analysis of Variance and Covariance (i.e . ANOVA, ANCOVA, MANOVA, and MANCOVA) - Survival Analysis - Time Series Analysis -...
Education
#Please contact me directly at mattia.manzoni@hotmail.it# MsC in Engineering with top marks and research assistant of Econometrics for...
Experience
volume clock for high freq data), Bid-Ask Bounce Bias & Sahalia Method for Microstructure Noise Estimation & Test, Hayashi-Yoshida Lead-Lag Index, D'Aspremont Method for Mean Rev Portfolios, Market Fragmentation in Financial Markets, High-Low prices & Pivot Points trading...
Education
!!! Contact me at mattia.manzoni@hotmail.it!!! MsC in Engineering with top marks and research assistant of Econometrics for Italian...
Experience
volume clock for high freq data), Bid-Ask Bounce Bias & Sahalia Method for Microstructure Noise Estimation & Test, Hayashi-Yoshida Lead-Lag Index, D'Aspremont Method for Mean Rev Portfolios, Market Fragmentation in Financial Markets, High-Low prices & Pivot Points trading...
Education
CFA Charterholder since 2006 Canadian Investment Manager (CIM)
Experience
I can help in French or English. University lecturer in Statistics, Quantitative Methods, Equity analysis and Corporate Finance . I prepare CFA Level 1 candidates in the following topics : Ethics, QM, Equity, Fixed Income, Portfolio Management, Derivatives, Corporate...
Education
PhD in Mathematics Master of Quantitative Finance (with High Distinction). Received Master of Quantitative Finance Prize - awarded...
Experience
Professional courses: Certificate in Quantitative Finance (CQF), CFA, Master in Applied Finance (Kaplan) and more ! Mathematics- all levels (e.g .: Calculus, Linear Algebra, Engineering Mathematics, Discrete Mathematics, Differential Equations, Partial Differential...
Education
1. Ethical finance graduate from John Molson School of Business and currently Level 2 candidate at CFA Institute. 2. With strong...
Experience
JMSB Finance Classes: Cases in Finance (FINA 405) Investment Analysis (FINA 410) Portfolio Management (FINA 411) Options and Futures (FINA 412) Advanced Topics in Derivative Markets (FINA 413) Mergers and Acquisitions (FINA 415) Real Estate...
Education
***Contact me at mattia.manzoni@hotmail.it*** MsC in Engineering with top marks and research assistant of Econometrics for Italian top...
Experience
volume clock for high freq data), Bid-Ask Bounce Bias & Sahalia Method for Microstructure Noise Estimation & Test, Hayashi-Yoshida Lead-Lag Index, D'Aspremont Method for Mean Rev Portfolios, Market Fragmentation in Financial Markets, High-Low prices & Pivot Points trading...