Arup Pal

Product Manager

Greater London, England, United Kingdom11 yrs 1 mo experience
Most Likely To SwitchHighly Stable

Key Highlights

  • Expert in Fixed Income and Relative Value strategies.
  • Strong background in cross-asset volatility management.
  • Proficient in multiple programming languages for financial modeling.
Stackforce AI infers this person is a Fixed Income and Volatility Specialist with strong programming skills.

Contact

Skills

Core Skills

Fixed IncomeRelative Value

Other Skills

AlgorithmsCC++Cross-asset volatilityDerivativesEconomicsFX HedgingFX SpotFinancial EconomicsGlobal MacroHedgingJavaMatlabOptionsProgramming

About

Fixed Income RV and volatility

Experience

Lmr partners

Portfolio Manager

Nov 2019Present · 6 yrs 4 mos · London Area, United Kingdom · On-site

  • Cross-asset volatility | tail risk hedging
Cross-asset volatilitytail risk hedgingFixed IncomeRelative Value

Alphadyne asset management

2 roles

Portfolio Analyst

Jan 2017Oct 2019 · 2 yrs 9 mos · Greater New York City Area

  • Trader / Portfolio Strategist

Summer Analyst

Jun 2016Aug 2016 · 2 mos · Greater New York City Area

  • Portfolio Analyst. Alphadyne is a multi-billion dollar macro hedge fund.

Deutsche bank

FX Strategist

Jun 2013Jun 2015 · 2 yrs · Mumbai

  • Macro, FX and rates strategy

Education

MIT Sloan School of Management

Master’s Degree — Finance

Jan 2015Jan 2016

Indian Institute of Technology, Bombay

Bachelor's Degree — Computer Science

Jan 2009Jan 2013

Ramakrishna Mission Vidyalaya

Jan 2001Jan 2007

Don Bosco School

Jan 1998Jan 2000

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