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Ankit Jain

Product Manager

Singapore, Singapore16 yrs 5 mos experience
Most Likely To SwitchHighly Stable

Key Highlights

  • Over 10 years of experience in macro trading.
  • Expertise in trading Asian and Indian government bonds.
  • Strong academic background in engineering and finance.
Stackforce AI infers this person is a Finance professional specializing in macro trading and investment analysis.

Contact

Skills

Core Skills

TradingEmerging MarketsFixed IncomeResearch

Other Skills

Interest Rate SwapsData AnalysisBehavioural FinanceValuationFinancial ModelingBusiness DevelopmentAnalytical SkillsBankingFinancial AnalysisHedge FundsMicrosoft Excel

About

Emerging markets macro trader with more than 10 years of experience across multiple currencies and interest rate products. Strong academic track record in electrical engineering, management and financial research, with an in-depth understanding of macro fundamentals, complemented by strong data analysis skills.

Experience

16 yrs 5 mos
Total Experience
3 yrs 3 mos
Average Tenure
4 yrs 1 mo
Current Experience

Bluecrest capital management

Portfolio Manager

Mar 2022Present · 4 yrs 1 mo · Singapore

Goldman sachs

2 roles

Executive Director

Nov 2019Dec 2021 · 2 yrs 1 mo

  • Emerging Markets Macro Trader, trading Asian government bonds and interest rate swaps
TradingEmerging Markets

Executive Director

Sep 2016Oct 2019 · 3 yrs 1 mo

  • Macro trader, trading indian government bonds and interest rate swaps
TradingEmerging Markets

Morgan stanley

2 roles

Associate

Apr 2012Aug 2016 · 4 yrs 4 mos

  • Fixed income trader, trading in Indian government bonds and interest rate swaps.
TradingFixed Income

Summer Intern

Apr 2011May 2011 · 1 mo

Iim calcutta

PGDM, Class of 2012

Jun 2010Apr 2012 · 1 yr 10 mos

Indian school of business

Researcher

Jun 2009Jul 2010 · 1 yr 1 mo

  • Centre for Analytical Finance - Worked on a data intensive research project in behavioural finance to study the wealth transfer effect due to the biases of individual investors. This is in addition to finding the type of biases and their effect on the trading behaviour of investors, utilizing the unique transaction level data from National Stock Exchange (India).
  • Worked on a research project to model the link between executive compensation and the risk taking behaviour of managers, with Prof Bhagwan Chowdhry, Anderson School of Business, UCLA.
  • Analyzed the investor behaviour on web based peer to peer lending sites with Prof. N R Prabhala, Smith School of Business, University of Maryland.
  • Studying the credit rationing in financial markets and insufficient elasticity of supply capacity of global financial system through a cross country regression analysis of over 20 years of panel data.
  • Part of the organization committee of the CAF Summer Research Conference, 2009 attended by distinguished finance researchers from around the world.

Education

Indian Institute of Management, Calcutta

PGDM

Jan 2010Jan 2012

Universität Mannheim

Student Exchange Program

Jan 2011Jan 2011

Indian Institute of Technology, Delhi

B Tech — Electrical Engineering

Jan 2005Jan 2009

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