“Risk Professional” in the financial industry. Quant Analyst/Developer. Retail trader. Coding enthusiast (R, Python). Bad at math (for quant standards).

What you can expect:

  • A variety of topics related to quantitatively trading your personal portfolio
  • things I wish I knew when I started out
  • solid R/Python code
  • the daily struggles of chasing my dream doing this fulltime

What you cannot expect:

  • Advanced mathematical topics/research (maybe at some point)
  • Super long, thesis-like posts, I try to keep it short and spicy