Quantitative Analyst | Trader | Portfolio Manager
🇯🇵 Based in Tokyo | Open to global finance/tech/crypto positions
A Python tool to monitor portfolio performance, drawdowns, and value at risk. Old Version Portfolio Analysis System
A modular system for screening cryptocurrency pairs for statistical arbitrage opportunities.
Macro trading and analysis framework
Fundamental equity valuation tool using DCF & multiplier models (Python, Pandas).
A comprehensive, professional-grade mortgage calculator (React, Flask).
Portfolio Optimization • Risk Management • Options & Hedging • Market Microstructure • Statistical Arbitrage
Algorithmic Trading • Order Book Analysis • On-Chain Analysis • Macro Research • Backtesting
- English (C1)
- Japanese (N3, studying for N2)
- Russian (native)
- Korean (know alphabet)
- kirill.ivanov.jp@gmail.com
- X: x.com/imnotkeril
- Telegram: @imnotkeril
