I am currently pursuing my graduate studies at Cornell University. For a comprehensive overview of my experiences and capabilities, please feel free to explore my resume below
My academic and professional journey has equipped me with a diverse skill set and a passion for interdisciplinary problem-solving. From designing complex econometric and matematics models for reseach to analyzing complex systems and financial products, I like to be challenged. You can check out my past projects by browsing through my GitHub below.
Diverse algorithm implementation, regression, classification, and clustering tasks using frameworks like scikit-learn and TensorFlow.
Leveraging advanced econometric tools and statistical software to analyze complex data and derive actionable insights.
Expertise in derivatives, risk management, and valuation, navigating complex financial instruments and effectively manage portfolios.
Strong foundation in statistics, with proficiency in hypothesis testing, regression analysis, and probability theory.