I am a Data Scientist who works in Asset Management, and I have experience in both pure technology roles and financial ones.
My specialty skills are in financial modeling, machine learning, AI and process automation.
I am also a masters researcher with a focus on AI for portfolio management. I have a direct influence on 42bn worth of capital through my solutions, and am a published author in Financial Sciences.
My technical skills cover; database dev (sql), NoSQL, big data infrastructure (Hadoop, spark), Python 3, C#, .NET core, API development, and various forms of data visualization.
My machine learning stack is NimbusML, TensorFlow + Keras, and I have hand coded reinforcement learning models.
My financial knowledge is specialized towards quantitative analysis, risk management, portfolio optimization, stochastic modeling, as well as undergraduate level knowledge in law (major) and accounting (minor).
NOTE: 30$ charge will be per question.