About Me

Hi ๐Ÿ‘‹, Iโ€™m Md Mostafa Kamal, a researcher and practitioner specializing in quantitative analysis and risk management ๐Ÿšฆ. My work bridges the crucial gap between theory and practice. I develop robust risk models and innovative trading approaches to provide actionable insights into complex financial markets. My expertise spans quantitative risk management, derivatives pricing and volatility modeling ๐Ÿ“ˆ, algorithmic and FX trading strategies ๐Ÿค–, fixed income and yield curve analysis ๐Ÿ“Š, and the dynamics of financial contagion and spillover risk ๐ŸŒ. Through this platform, I am excited to share my academic research ๐Ÿ“„, projects, and professional resources to support and collaborate with fellow finance professionals, academics, and enthusiasts.

Explore the links below to learn what I am passionate about!

global map

Research

Understanding global financial risk dynamics and risk-asset prices interactions

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Risk compas

Projects

Promoting open-sources sofware, data, and collaborating on exciting projects

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Configuring and promoting risk awareness

News

Sharing ideas, promoting thoughts, and building together a stable tomorrow

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