Profile

Mr. Jamal Khan is a FICC Quant Strategist at BofA Securities, Inc. He is a cross-asset quantitative strategist focusing on commodities and FX.
He contributes to Research publications such as the FICC Portfolio Monthly, Quantitative Investment Strategies Monthly and Global Energy Weekly.
He is based in New York.
Prior to joining BofAML, Mr. Khan was an Economic Consultant at Cornerstone Research providing quantitative research expertise on corporate litigation matters.
He holds an MS in Financial Economics from Columbia Business School and a BA in Mathematics from Brandeis University.

Former positions of Jamal Khan

CompaniesPositionEnd
Market Strategist 2021-04-30
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Training of Jamal Khan

Columbia Business School Graduate Degree
Brandeis University Undergraduate Degree

Experiences
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