Yang Zhou
About Yang Zhou
Yang Zhou is an Associate Analyst on the Quantitative Research Team at Geode Capital Management, where he has worked since 2013. He holds a Bachelor of Science in Applied Mathematics from Fudan University and a Master of Science in Finance from Boston University.
Work at Geode Capital Management
Yang Zhou has been employed at Geode Capital Management since 2013. He currently holds the position of Associate Analyst within the Quantitative Research Team. His role involves conducting quantitative analysis to support investment strategies and decision-making processes. Prior to his current position, he worked as a Research Intern in the same team for three months in 2013. His tenure at Geode Capital Management spans over 11 years, reflecting a commitment to the firm's quantitative research initiatives.
Education and Expertise
Yang Zhou earned a Bachelor of Science degree in Applied Mathematics from Fudan University, where he studied from 2007 to 2011. He furthered his education at Boston University, obtaining a Master of Science in Finance from 2011 to 2013. His academic background equips him with a strong foundation in quantitative analysis and financial principles, which he applies in his current role at Geode Capital Management.
Background
Yang Zhou began his professional career with a brief tenure as a Quantitative Consultant at CME Group in 2013, where he worked for two months in the Quantitative Risk Team. This early experience in quantitative risk management contributed to his analytical skills and understanding of financial markets. Following this role, he joined Geode Capital Management, where he has developed his expertise in quantitative research.
Professional Experience
Yang Zhou has accumulated significant experience in quantitative research and analysis since 2013. His roles at Geode Capital Management have included both research intern and associate analyst positions, allowing him to engage deeply with quantitative methodologies. His work focuses on leveraging quantitative techniques to inform investment decisions and enhance portfolio management strategies.