Sarang Kansara

Quantitative Analyst, Quantitative Research, Risk Analyst, Portfolio Management, Trader
Class of 2025
Bio
Sarang is a current graduate student pursuing a Masters in Financial Mathematics. He possesses a robust technical foundation cultivated through his bachelor’s degree in engineering from VJTI, India, and two years of hands-on software engineering experience. His year-long tenure as a risk analyst further provided him the opportunity to sharpen his analytical acumen and acquire valuable insights into the risk domain, leveraging industry-standard tools such as Refinitiv and S&P Capital IQ. Having successfully completed CFA Level 2 and exhibiting a strong inclination towards quantitative finance and portfolio management, Sarang is well-equipped to make significant contributions to the field of finance.