M.S. in Financial Analysis and Investment Management

After 15 months of intense labor, I have finished my M.S. in Financial Analysis and Investment Management (as I call it, my 2.8th Masters – first one in EE and 0.8 in Computer Science).  Feel free to reach out to me, if you need help or want to have discussion about the following: Decision-making under uncertainty related to feasibility of business ideas, M&A, Private Equity; Fundamental Analysis (DCF, Residual Earnings Model, Abnormal Earnings Model); Portfolio Optimization (401K/Taxable); Derivatives-based Strategies (Options, Futures, Forwards, Swaps); Statistical/ Quantitative Techniques (Regression, Probabilities), Behavioral Economics and Macro-economic environment (Fiscal/Monetary Policies).

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