Veronila Vizigina
Junior Associate
Veronika is a Junior Associate specializing in financial modeling, DCF valuation, risk position dashboards, and ad-hoc research of commodity markets. She holds a Bachelor of Science in Economics at Lomonosov Moscow State University (GPA 4.8/5.0, group with increased academic load), with a research focus on monetary policy and financial stability.
She has applied quantitative modeling in competitive settings, including Markowitz portfolio optimization and ModelRisk-based investment forecasting, and was a prizewinner at the HSE Winter Economic School (2026).
Education: Bachelor of Science in Economics, Lomonosov Moscow State University, 2026 Advanced coursework in Econometrics, Time Series Models, Macroeconomics, Corporate Finance, Industrial Organization, and Game Theory. Summer school, Universitat Pompeu Fabra, Barcelona, 2025
Skills: R · Python · SQL · Excel · ModelRisk · English (Advanced)
She has applied quantitative modeling in competitive settings, including Markowitz portfolio optimization and ModelRisk-based investment forecasting, and was a prizewinner at the HSE Winter Economic School (2026).
Education: Bachelor of Science in Economics, Lomonosov Moscow State University, 2026 Advanced coursework in Econometrics, Time Series Models, Macroeconomics, Corporate Finance, Industrial Organization, and Game Theory. Summer school, Universitat Pompeu Fabra, Barcelona, 2025
Skills: R · Python · SQL · Excel · ModelRisk · English (Advanced)