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Tatiana Markova

Market Risk Manager PJSC "Bank "Saint-Petersburg"

Tatiana Markova is a professional with a strong background in Risk Management, Financial Modelling, Econometrics, Macroeconomic Analysis, Game Theory, Investment Analysis, and Portfolio Management. She pursued her Bachelor's degree in Finance and Financial Management Services at Higher School of Economics, and subsequently completed her Master's degree in Audit and Risks at Université Paris Dauphine. Tatiana has valuable work experience, having served as a Market Risk Manager at Bank of Saint Petersburg and previously as an Analyst at ICORating.

Highlights

Presentation of Rare Phenotypes Associated with the FKBP10 Gene
Mar 30 · theorg.com
Tatiana Markova - Senior Research Director at RTi Research | The Org

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Tatiana Markova
Tatiana Markova, photo 1
Tatiana Markova, photo 2
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Location

Saint Petersburg, Russian Federation