Aman Nangia

Associate Consultant

Singapore, Singapore7 yrs 5 mos experience
Highly StableAI Enabled

Key Highlights

  • Expert in quantitative trading and risk modeling.
  • Proven experience in developing trading logic and reporting tools.
  • Strong educational background with a Master's in Financial Economics.
Stackforce AI infers this person is a Fintech professional with expertise in quantitative trading and risk management.

Contact

Skills

Core Skills

Risk ManagementQuantitative Trading

Other Skills

AnalyticsAsset ManagementBashCapital MarketsCommunicationCorporate FinanceDerivativesDue DiligenceEconometricsEconomicsElectronic TradingFinanceFinancial MarketsFinancial ModelingFinancials

About

Working at a HFT and algorithm trading firm. Experienced in quantitative trading, risk modelling and developing trading logic & reporting tools. Masters in Financial Economics.

Experience

Grasshopper

Risk Manager

Nov 2025Present · 4 mos · Singapore · On-site

Portfolio Risk ManagementRisk Management

Tower research capital

4 roles

Garden Leave

May 2025Nov 2025 · 6 mos

Risk Manager

Promoted

Aug 2024May 2025 · 9 mos

Risk Associate

Promoted

Aug 2021Aug 2024 · 3 yrs

Risk Monitor

Aug 2020Jul 2021 · 11 mos

Cd integrated services ltd. - india

Options Trader

Nov 2019Aug 2020 · 9 mos · Ahmedabad Area, India

  • Handling a proprietary fund of 10 crores in systematic and arbitrage trading strategies
  • Managing development of research tools and applications for processing market data
  • Preparing technical and fundamental analysis of markets and portfolio

Alpha six capital

Derivatives Trader Analyst

Mar 2019Nov 2019 · 8 mos · Gurgaon, India

  • Deploying systematic trading strategies.
  • Risk management and hedging.
  • Exploring trading ideas by analyzing market data and micro-structure for patterns
  • Developing tools to research and analyze market data and patterns

Iragecapital advisory private limited

Risk and Compliance Analyst

Jun 2018Nov 2018 · 5 mos · Mumbai Area, India

  •  Monitoring trends or changes in the behavior of firm's trading strategies across all markets and asset classes during the market trading.
  •  Evaluating stress scenarios and thereby providing immediate escalations to reduce market risks
  •  Building and enhancing existing risk monitoring and risk alert tools.
  •  Creating and maintaining tools that record all information required from a compliance perspective (trading logs, trading parameters)

Aurum equity partners llp

Investment Banking Intern

May 2017Jul 2017 · 2 mos · Gurgaon, India

  • Preparing financial and valuation models
  • Exposure on live M&A, Private Equity, and Debt transactions
  • Involved in company and sector research, identifying key trends and suitable players in select industries.

Education

Gokhale Institute of Politics and Economics

Master’s Degree — Financial Economics

Jan 2016Jan 2018

Sri Guru Gobind Singh College Of Commerce

Bachelor's Degree — Economics

Jan 2013Jan 2016

Sachdeva Public School, Rohini

Business/Commerce — General

Jan 2001Jan 2013

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