Sanzhi Kobzhan

About Author

Worked as a senior trader in commersial bank's treasury department, also worked as a head of cash and liquidity management in second tier bank. Also have solid experience working in a head trader's shoes in brokerage companies and banks.

Developed credit risk management models, operational risk management models, FX risk management models.

Traded on CIS exchanges as well as international (UK, HK, US) exchanges with DMA (Direct Market Access). Expert in fundamental and technical analysis, equity valuation, portfolio management and treasury management. FX, FI, MM, Equities strategy.

Would be extremely glad to share my practical knowledge and show individual investors how professional traders and analysts approach financial markets analysis and trading.

If you are institutional traders and already have market expertise, my analytical thinking, market approach and expert opinion will serve as a valuable support point for your further investment desitions.

After compleating my courses you will become independent investment analyst, risk manager and trader. Moreover i will share some of my equity valuation models and portfolio management models.

Author

Top