Hello! I am a Mathematics Educator based in Romania, with a deep-seated passion for quantitative finance, analytical modeling, and long-term equity investing.
My academic background in mathematics shapes my core investment philosophy: removing emotional bias from decision-making and relying strictly on empirical data, fundamental strength, and probabilistic advantages. I am currently pursuing formal certifications in portfolio management to further refine my institutional-level expertise.
My goal on Wikifolio is to manage a disciplined, semi-passive equity strategy that blends top-tier quantitative research with rigorous risk metrics. As a firm believer in alignment of interests, I personally invest in this strategy alongside my community.
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Handelserfahrung
Risikoklasse 1:
1 bis 3 Jahre
Risikoklasse 2:
3 oder mehr Jahre
Risikoklasse 3:
1 bis 3 Jahre
Risikoklasse 4:
0 bis 1 Jahre
Risikoklasse 5:
3 oder mehr Jahre