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Konstantin Andreev, Ph.D.

Senior Analyst

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Tenure

  • 11 YRS

    Industry

  • 7 YRS

    Oppenheimer

  • BSc from Sofia University
  • MSc and Ph.D. from Carnegie Mellon University

Konstantin Andreev, Ph.D. serves as a senior quantitative analyst on the Global Debt Team. He joined the Firm in 2010 as an analyst in the Risk Management group, primarily responsible for the Global Equity strategy’s risk analysis and helping to create the strategy’s risk framework. Previously, Dr. Andreev was a quantitative analyst at Chatham Financial, where developed and implanted fixed-income derivative models.

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  • BSc from Sofia University
  • MSc and Ph.D. from Carnegie Mellon University

Insights

Markets & Economy

Which Global Markets Are Expected to Rise or Fall?

Explore the big macro stories and key economic data that will impact asset classes and investment plans this year.

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