Capital Market Risk Advisors

Industry: Company

Description

Founder: Leslie Rahl Founded: 1991

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Capital Market Risk Advisors Employees

Employee
Years
Job
Industry
Airrion Doss Airrion Doss Greater New York City Area Details
Airrion Doss's Capital Market Risk Advisors Experience November 2008 - Present
Job Executive Assistant/Office Manager
Industry Capital Markets
Experience
Capital Market Risk Advisors   November 2008 - Present

Skills
Concur, Diary Management, PowerPoint, Business Correspondence, Microsoft Excel, Calendaring, Calendars, Microsoft Office

Education
New York University   2000 — 2003
MFA, Acting

University of California, Los Angeles   1996 — 2000
B.A., Theatre

Klara Iskoz, CFA Klara Iskoz, CFA Greater Boston Area Details
Klara Iskoz, CFA's Capital Market Risk Advisors Experience 1998 - 1999
Job Vice President, Financial Solutions/R&D at Fidelity Investments
Industry Investment Management
Experience
Fidelity Investments  1999 - Present
Capital Market Risk Advisors   1998 - 1999
Bankers Trust  1994 - 1997

Skills
Financial Modeling, Financial Analysis, Investment Strategies, Personal Financial..., Quantitative Finance, Project Management, Team Management, Asset Allocation, Investments, Finance, Common sense, Pragmatism, Retirement Planning

Education
New York University - Leonard N. Stern School of Business   1996 — 1998
Master of Business Administration (MBA), Financial Engineering

Polytechnic University   1992 — 1994
Bachelor of Science (BS), Mathematics

Ed Berman Ed Berman Greater New York City Area Details
Ed Berman's Capital Market Risk Advisors Experience 1999 - 2000
Job Risk Manager at J.P. Morgan
Industry Financial Services
Experience
J.P. Morgan   April 2013 - Present
The PrinceRidge Group  October 2008 - April 2013
Dillon Read Capital Management / UBS Investment Bank   2006 - 2008
Nomura Securities  2000 - 2006
Capital Market Risk Advisors   1999 - 2000
Bear Stearns & Co, Inc   1996 - 1998

Skills
Derivatives, Market Risk, Trading, Portfolio Management, Fixed Income, Options, Hedge Funds, Structured Products, Credit Risk, Financial Risk

Education
New York University, Stern School of Business
Master of Business Administration (MBA), Finance/Statistics

Boston University
Doctor of Philosophy (Ph.D.), Physical Chemistry

Gubkin Russian State University of Oil and Gas (former Moscow State Academy of Oil and Gas)
Master of Science (M.S.), Chemical Engineering

MJ Lupton MJ Lupton Greater New York City Area Details
MJ Lupton's Capital Market Risk Advisors Experience January 2000 - June 2006
Job Executive Assistant at BlueMountain Capital Management
Industry Investment Management
Experience
BlueMountain Capital Management  March 2015 - Present
OfficeNinjas  August 2014 - Present
Protege Partners  September 2006 - February 2015
Capital Market Risk Advisors   January 2000 - June 2006
Gordian Group, LLC  August 1997 - January 2000

Skills
Travel Arrangements, Executive..., Calendaring, Microsoft Office, Heavy Calendaring, Outlook, Executive Support, Office Administration, Office Management, Administrative..., Expense Management, Executive Calendar..., Calendars, Administrative..., Research, Executive Level..., Travel Planning, Administrative Office..., Investor Relations, High Level Of..., C-Level Executive..., Expense Reports, Adobe Acrobat, Meeting Scheduling, Diary Management, Photoshop, Volleyball, Non-profit Volunteer, Non-profit Leadership, Fund Of Funds

Education
Hunter College

Courtney Moran Courtney Moran Washington D.C. Metro Area Details
Courtney Moran's Capital Market Risk Advisors Experience May 2012 - August 2012
Job Development and Communications Associate at Kid Power, Inc.
Industry Real Estate
Experience
Kid Power, Inc.   March 2014 - Present
Paradigm Companies  August 2013 - February 2014
Colby College  September 2010 - May 2013
Capital Market Risk Advisors   May 2012 - August 2012
Commonwealth of Massachusetts House of Representatives  January 2012 - January 2012

Skills
Fundraising, Community Outreach, Social Media, Microsoft Office, Excel, Grant Writing, Event Planning

Education
Colby College   2009 — 2013
Bachelor of Arts (B.A.), Government, Global Studies

IES Abroad- Buenos Aires, Argentina   2011 — 2011
Advanced Spanish Language Program

NCDS   2005 — 2009

George Namur George Namur New York, New York Details
George Namur's Capital Market Risk Advisors Experience July 1996 - June 1998
Job Seasoned trader, portfolio manager, wealth manager, investor and entrepreneur.
Industry Investment Management
Experience
Namur Capital Management   October 2001 - Present
Olayan School of Business, American University of Beirut   February 2011 - Present
Gerson Lehrman Group  August 2002 - Present
Vermont Harding Management Limited   January 2009 - August 2010
Shell Trading  September 1998 - August 2001
Capital Market Risk Advisors   July 1996 - June 1998
JPMorgan Chase  June 1995 - August 1995
A. Epstein & Sons   November 1992 - October 1994
ABB Impell Corporation  September 1989 - August 1992
Pratt Institute  August 1988 - July 1989

Skills
Derivatives, Trading, Equities, Hedge Funds, Alternative Investments, Fixed Income, Options, Financial Markets, Hedging, Portfolio Management, Investment Management, Investments, Wealth Management, Investment Banking, Securities, Due Diligence, Financial Risk, Risk Management, Commodity, Investment Strategies, Energy, Asset Management, Commodity Markets, Financial Structuring, Energy Trading, FX trading, Options Strategies, Equity Trading, Global Macro, Managed Futures, Risk Reduction, Global Asset Allocation, Stock Picking, Buy-side, Managed Accounts, Higher Education, Equity Derivatives, Commodities, Electricity Markets, Institutional Investors, High Net Worth..., Technical Analysis, Business Strategy..., Game Theory, Behavioral Finance, Asset Allocation

Education
The University of Chicago Booth School of Business   1994 — 1996
MBA, Analytic Finance, Business Economics

University of Michigan   1984 — 1989
Ph.D., Structural Engineering

University of Michigan   1983 — 1984
M.S., Civil Engineering

American University of Beirut   1979 — 1983
B.Eng., Civil Engineering

Tom Riesing Tom Riesing Albuquerque, New Mexico Area Details
Tom Riesing's Capital Market Risk Advisors Experience December 1994 - December 1996
Job Steering Commitee Member at Local First (Durango)
Industry Political Organization
Experience
Local First (Durango)   July 2007 - Present
Oakhaven Permaculture Center   September 1999 - Present
Sustainability Alliance of Southwest Colorado   January 2006 - December 2008
Optimark Technologies, Inc.   September 1997 - March 1999
The Council on Economic Priorities   January 1997 - September 1997
Capital Market Risk Advisors   December 1994 - December 1996
Arcturus Investors, Inc.   June 1992 - July 1994
CS First Boston  July 1983 - June 1990
Harvard Business School  September 1970 - June 1973

Skills
Community Building, Non-profits, Permaculture, Research, Public Speaking, Portfolio Management, Sustainability

Education
ZERI Certification Training   2005 — 2005
Systems, Biology, Business Analysis

Permaculture   2002 — 2002
Certified Pc Designer, Systems, Biology, Organic Agriculture, Green Building

Massachusetts Institute of Technology - Sloan School of Management   1966 — 1972
Ph.D., Economics, Finance & Cognitive Psychology

University of Colorado Boulder   1958 — 1960
B.S., Mechanical Engineering

David Skeie David Skeie College Station, Texas Details
David Skeie's Capital Market Risk Advisors Experience 1995 - 1998
Job Assistant Professor of Finance at Mays Business School, Texas A&M University
Industry Research
Experience
Texas A&M University  2014 - Present
Federal Reserve Bank of New York  2004 - 2014
Capital Market Risk Advisors   1995 - 1998
Citadel Investment Group  1993 - 1995

Skills
Financial Economics, Economic Research, Finance, Macroeconomics, Monetary Policy, Economics, Liquidity Risk, Financial Risk, Central Banks, Corporate Finance, Microeconomics, Econometrics, Stata, Quantitative Analytics, Time Series Analysis, Fixed Income, Emerging Markets, Statistics, International Economics, Eviews, Capital Markets, Liquidity Management, Risk Management, Market Risk, Risk Analysis, Monetary Economics, Monetary Theory, Money Market, Banking, Financial Markets, Financial Analysis, Financial Modeling, Corporate Governance, Financial Crises, Financial Research, Financial Market..., Financial Risk..., Liquidity, Money Market Funds, Global Macro, Contract Theory, Nunchuck Skills, Bow Hunting Skills, Computer Hacking Skills

Education
Princeton University   2000 — 2004
Doctor of Philosophy (Ph.D.), Economics

Princeton University   1998 — 2000
Master's Degree, Economics

Massachusetts Institute of Technology   1991 — 1993
Bachelor's Degree, Economics

Caltech   1989 — 1991
Physics

Nandan Pathak, CFA Nandan Pathak, CFA Greater New York City Area Details
Nandan Pathak, CFA's Capital Market Risk Advisors Experience August 2000 - April 2003
Job VP at Deutsche Bank
Industry Financial Services
Experience
Deutsche Bank  March 2014 - Present
Deutsche Bank  January 2011 - March 2014
Deutsche Bank  May 2003 - November 2010
Capital Market Risk Advisors   August 2000 - April 2003
Nomura Securities  November 1996 - August 2000

Skills
Derivatives, Capital Markets, Fixed Income, Investment Banking, Valuation, Credit Derivatives, Financial Modeling, Equity Derivatives, Credit Risk, FX Options, Private Equity, Electronic Trading, Asset Management, Banking, Bloomberg, Bloomberg Terminal, Trading Systems, Interest Rate Swaps, Options, Hedge Funds, Equities, Change Management, Bonds, Financial Markets, Financial Analysis, Product Control, Program Management, Swaps, Trading, Portfolio Management, Interest Rate..., Quantitative Finance, Risk Management, Structured Products, Financial Reporting, Market Risk, Financial Risk, Middle Office, Corporate Finance, Structured Finance, Residential Mortgages, Commercial Mortgages

Education
Cornell University   1991 — 1995
Bachelor of Science (B.S.), Operations Research/Industrial Engineering

Tanya Beder Tanya Beder San Francisco Bay Area Details
Tanya Beder's Capital Market Risk Advisors Experience August 1994 - May 1999
Job Chairman & CEO at SBCC Group Inc.
Industry Financial Services
Experience
SBCC Group   October 2006 - Present
CYS Investments (NYSE: CYS)   May 2012 - Present
American Century Investments  March 2011 - Present
Stanford University  March 2012 - Present
OpHedge Investment Services  2005 - 2010
Tribeca Global   May 2004 - September 2006
Caxton Associates  May 1999 - May 2004
Capital Market Risk Advisors   August 1994 - May 1999
Credit Suisse First Boston  June 1977 - December 1986

Skills
Risk Management, Financial Strategy, Litigation Support, Hedge Funds, Alternative Investments, Asset Managment, Derivatives, Fixed Income, Investments, Portfolio Management, Equities, Valuation, Private Equity, Capital Markets, Financial Modeling, Trading, Emerging Markets, Options, Asset Management, Due Diligence, Quantitative Finance, Commodity, Mergers & Acquisitions, Equity Trading, Mutual Funds, Strategy, Financial Markets, Investment Banking, Investment Management, Securities, Bloomberg, Credit, Equity Research, Venture Capital, Funding, Bonds, Finance

Education
Harvard Business School   1981 — 1983
MBA

Yale University   1973 — 1977
AB

Maria Paulino Maria Paulino Greater New York City Area Details
Maria Paulino's Capital Market Risk Advisors Experience February 1997 - April 1999
Job Assistant Vice President at Barclays Capital
Industry Investment Banking
Experience
Barclays  September 2008 - March 2015
Lehman Brothers  December 2007 - September 2008
Lehman Brothers  December 2005 - November 2007
Lehman Brothers  August 2004 - November 2005
Lehman Brothers  July 2001 - July 2004
Lehman Brothers  May 1999 - June 2001
Capital Market Risk Advisors   February 1997 - April 1999
Tower Air  June 1996 - September 1996

Skills
Business Analysis, Management, Investment Banking, Project Management, Disaster Recovery, Risk Management, Financial Analysis, Financial Reporting, Change Management, Data Analysis, Business Strategy, Business Process..., Governance, Analysis, Forecasting, Vendor Management, Onboarding, Training, Procurement, Finance, Databases

Education
City University of New York-Hunter College   1990 — 1996
BA, Economics

Monique Miller Monique Miller Greater Los Angeles Area Details
Monique Miller's Capital Market Risk Advisors Experience July 1998 - May 1999
Job Managing Director, Head of Alternatives Strategy and Business Development at Wilshire Funds Management
Industry Financial Services
Experience
Wilshire Funds Management   January 2013 - Present
WR Platform Advisors, LP   July 2008 - December 2011
Caxton Associates  May 1999 - July 2008
Capital Market Risk Advisors   July 1998 - May 1999
Chicago Research and Trading  1990 - 1998

Skills
Risk Management, Hedge Funds, Portfolio Management, Asset Managment, Equities, Financial Risk, Investments, Alternative Investments, Derivatives, Strategy, Commodity, Asset Management, Management Consulting, Management, Investor Relations, Fixed Income, Business Analysis, FX Options, Investment Management, Trading, Capital Markets, Business Development, Investment Banking, Private Equity, Financial Structuring, Fund Of Funds, Securities, Options, Asset Allocation, Financial Services

Education
New York University - Leonard N. Stern School of Business
MBA, Economics and Finance

Syracuse University - Martin J. Whitman School of Management
BS, Finance

Anil Suri Anil Suri Moraga, California Details
Anil Suri's Capital Market Risk Advisors Experience 1995 - 1996
Job Chief Risk and Audit Officer at Pacific Gas and Electric Company
Industry Utilities
Experience
Pacific Gas and Electric Company  2010 - Present
Wells Fargo  2007 - 2009
Consultant  2003 - 2007
E-lecTrade, Inc   1999 - 2003
The Risk Partners   1997 - 1999
Ferrell Capital Management  1996 - 1997
Capital Market Risk Advisors   1995 - 1996
Merrill Lynch  1994 - 1995
Yale University  1990 - 1993
Harvard University  1988 - 1990

Skills
Finance, Risk, Financial Modeling, Financial Risk, Financial Analysis, Sarbanes-Oxley Act, Risk Assessment, Risk Management, Energy, Portfolio Management, Management

Education
Columbia Business School   1994 — 1996
MBA, Finance

Harvard University   1982 — 1988
PhD, Fluid Turbulence

Indian Institute of Technology, Delhi   1977 — 1982
Bachelor's degree, Mechanical Engineering

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