I have a PhD in economics and a master degree from a business school in finance. I am an expert econometrician and data analyst. I have been teaching applied econometrics for 10 years to undergraduate and postgraduate students using real data and applications, one effective method of teaching I use is to replicate academic papers and apply theory to real world problems through structured applications and case studies. I am experienced in the use of Microsoft package including Excel spread sheets for simulations purposes, asset pricing and models estimation. My main research interest is focused on measuring and managing financial risk using quantitative applications. I have the capacity to assimilate information and translate to practical plans with strong attention to details, in addition, to developing trusted relationships and to communicate effectively. I am knowledgeable in the use of financial statistical analysis packages such as SPSS, OxMetric and R.