Omar Bazara

Omar Bazara

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Structured Rates Model Control, Morgan Stanley
AboutCourses

Omar Bazara holds a Master’s degree in financial mathematics from Cass Business School, City University of London. Omar is a portfolio valuation analyst at IHS Markit, London. He is specialized in Credit Derivatives and working alongside a variety of different asset classes.

Quantitative Finance with R
Presented by Marco Neffelli and Omar Bazara
Learn portfolio optimization, asset pricing, and risk management with R.