This is a collection of some of my technical work related to quantitative finance. Homework sets, papers I've authored, Python programs, and blog posts are all fair game.
I am a grad student at the University of Michigan, in the Quantitative Finance and Risk Management program. I completed my undergraduate work from Georgia Institute of Technology where I majored in Applied Mathematics,minored in Economics and completed a certificate in Finance.
Previously, I have interned at TATA Asset Management Ltd. in Mumbai, India. I worked for the Product Development department and primarily focused on Bloomberg and data analytics.
My hobbies are watching movies and reading.