I am a Finance Professional working with one of the largest Wall Street firms with ~10yrs of teaching experience in economics/econometrics/finance/applied quant subjects for students mostly in US/UK based universities.
I believe in teaching economics in the most conceptual manner with thorough understanding of the topics and emphasis on logical clarity with applications and assignments. The subject can be best enjoyed only when there is correct guidance and application based learning where you understand concepts with examples, applications and case studies. I hold control on how to make students understand and enjoy the subject at the same time.
Students have fared very well under my guidance and I take pride in it.
My core subjects include - Micro, Macro Economics, Applied Econometrics, Financial Economics, Risk Management, Quant Finance.
Happy to help with a demo class and take it forward.
Subjects
-
Statistics Grade 1-Doctorate/PhD
-
Economics Grade 1-Doctorate/PhD
-
Econometrics Grade 1-Doctorate/PhD
-
R (Programming) Beginner-Expert
-
Microeconomics Grade 1-Masters/Postgraduate
-
Macroeconomics Grade 1-Doctorate/PhD
-
Financial Risk management Bachelors/Undergraduate-Doctorate/PhD
-
Financial Economics Bachelors/Undergraduate-Doctorate/PhD
-
Finance Derivatives Bachelors/Undergraduate-Doctorate/PhD
Experience
No experience mentioned.
Education
-
Financial Risk Management (Jan, 2018–Jan, 2019) from GARP
-
M. Sc. Financial Economics (Jul, 2013–Jun, 2015) from Economics