Hafzan21

Amaanullah Mehboob Bhatti

Emirados Árabes Unidos
https://hafzan.pages.dev
I am a Dubai-based Risk Analyst and quantitative researcher working at the intersection of financial modeling, macroeconomics, and software engineering. My work combines academic research with practical implementation, focusing on developing quantitative frameworks and technology for modern financial markets.

A significant part of my career has been dedicated to research. I am currently ranked among the Top 5% of researchers worldwide on SSRN and hold the #1 global ranking in the IMF category. My research portfolio includes more than 20 published papers covering market resilience, alternative economic metrics, valuation methodologies, and quantitative finance, with several introducing proprietary frameworks and models.

Alongside research, I have a strong interest in building technology that transforms complex ideas into practical tools. My technical work includes:

- Developing proprietary programming frameworks to streamline complex software development.
- Engineering financial terminals and research platforms for real-time market analysis and risk simulation.
- Designing automated algorithmic trading systems across major asset classes and indices.

I hold a Bachelor of Business Administration in Financial Markets from Marwadi University, graduating First Class with Distinction with a CGPA of 8.57/10. As a Dean's List Honoree at the Corporate Finance Institute (CFI), I have earned seven professional designations—FMVA®, CMSA®, CBCA®, BIDA®, FTIP®, FPWMP®, and FPAP—along with the NSE Academy Certified Investment Analyst Champion (NCIAC) and NSE Certified Market Professional (NCMP) Level 3. In addition, I have completed over 235 professional certifications from organizations including the Corporate Finance Institute, Google, Microsoft, and the United Nations, reflecting a strong commitment to continuous learning across finance, data science, compliance, and technology.

In my current role at a securities firm in Dubai, I specialize in risk management and trade surveillance. My broader interests include advancing quantitative finance through research-driven innovation while exploring interdisciplinary ideas that connect finance, mathematics, and theoretical physics.

Gráficos e ideias

Gráficos e ideias
O usuário ainda não tem ideias de trading
Go to Charts and Trading Ideas