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    Dimitar Tonev

    Quantitative Market Risk Manager at EDF Trading

    Dimitar Tonev is a skilled professional with a background in Financial Engineering from Birkbeck, University of London.

    He has gained extensive experience in quantitative analysis and risk management working for renowned organizations in the energy sector.

    Currently, Dimitar serves as a Quantitative Market Risk Manager at EDF Trading, where he leverages his expertise to navigate the complexities of market risk.

    Prior to his current role, he held prominent positions at ExxonMobil, PetroChina International, Gazprom Marketing & Trading, and EDF Energy, showcasing his versatility and proficiency in quantitative analysis and risk assessment.

    His rich professional journey attests to his strong analytical abilities and strategic mindset in managing market risks efficiently.

    Dimitar Tonev
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    Location

    London, England, United Kingdom