Associate – US Credit Research
PineBridge Investments is a global asset manager with experience in emerging and developed markets, and investment capabilities in multi-asset, fixed income, equities and alternatives.
An M.S. graduate in Financial Engineering and Risk Analytics with solid skills and background in statistics, economics, accounting, corporate finance, quantitative analysis and research especially for financial econometric modeling, investment portfolio and risk management. Through an internship at Yield Book Citigroup, I developed specialized skills in index development and econometric modeling, and collaborated with software engineers and managing director. Now, my goal is to contribute my passion and strengths to the financial world in the areas of financial analysis, quantitative analysis and risk management. Rich hands-on experience in financial analysis, quantitative financial analysis specializing in financial econometric modeling, fixed - income products analysis and development, European and American option pricing by binomial tree and Monte Carlo Simulation, and risk management specializing in bonds' credit risk assessment, and fixed income portfolios. Solid experience in Matlab, Excel (VBA, Macros), R, Stata and Bloomberg to conduct simulation for derivatives pricing, optimization for portfolios, credit risk assessment for bonds, and auto regression analysis, and collect data. Sound Interpersonal skills and leadership experience through organizing and coordinating project tasks and working with people from all over the world with various cultural backgrounds.
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