Ravi Raj — CEO
Strategist and fixed income expert with a deep understanding of interest rate and bond markets. Proven experience in the ideation, quantitative modeling, and execution of trading strategies across macro, relative value (RV), basis, and spread opportunities. My focus is on generating risk-adjusted alpha through the implementation of robust risk management systems and rigorous portfolio construction.
Stackforce AI infers this person is a Fixed Income Trading Expert with a strong quantitative analysis background.
Location: Bengaluru, Karnataka, India
Experience: 9 yrs 9 mos
Skills
- Fixed-income Investing
- Quantitative Research
Career Highlights
- Expert in fixed income and bond markets.
- Proven track record in quantitative trading strategies.
- Strong focus on risk-adjusted alpha generation.
Work Experience
Goldman Sachs
Vice President, FICC (7 yrs 3 mos)
Credit Suisse
Divisional Trading Oversight (10 mos)
EXL
Credit Risk Analytics (1 yr 7 mos)
Squad
Summer Intern (2 mos)