Enterprising Investor
Practical analysis for investment professionals

Attika Raj, CFA, FRM

1 Post

Biography

Attika Raj, CFA, FRM, works as a senior specialist, complex securities pricing at London Stock Exchange Group (LSEG), where she focuses on pricing, validation modeling, and pricing services model risk management. In her previous role at LSEG, she was the regulatory analytics product lead manager on the Analytics Product Management Team, where she was working to build products focused on quantitative aspects of market and credit risk regulatory frameworks. Prior to LSEG, Raj worked with KPMG. There, she was involved in various financial and model risk projects. She holds a Master of Financial Engineering degree from UCLA Anderson School of Management, USA, and an MBA from IIT Madras, India. She is also a CFA Charter holder and a certified FRM.

Author's Posts
Market and Model Risk: Sequentially Interweaved Risk Dimensions

Risk managers must look at market and model risk through a single lens to see the complete picture of their market-related investment and trading risks, as well as management costs, complexities, time, and regulatory requirements.



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