Peter has experience in financial markets and investment product development for institutional asset management. He is interested in quantitative finance, financial networks and startup business models.
His next presentations about Eurozone government bond dynamics are at
- Financial Risk & Network Theory Conference, Cambridge, Sep 9th, 2015
- TradeTech FX, London, Sep 17th, 2015
- ESOBE Gerzensee, October 30th, 2015.