Dr. Andreas Hubener

Angestellt, Risikomanager, R+V Versicherung

Wiesbaden, Germany

Skills

Python
Aktuar DAV
risk modelling
PhD Finance
analytical and quantitative skills
Matlab
teaching experience
stochastic calculus
publication in Review of Finance
quantitative finance

Timeline

Professional experience for Andreas Hubener

  • Current 6 years and 4 months, since Jan 2018

    Risikomanager

    R+V Versicherung
  • 3 years, Jan 2015 - Dec 2017

    Life/Asset Specialist

    Allianz Global Investors
  • 5 years and 4 months, Oct 2009 - Jan 2015

    Wissenschaftlicher Mitarbeiter

    Goethe Universität Frankfurt

    household economics research, teaching in finance (tutorials, seminars, thesis supervising)

  • 2 months, Aug 2009 - Sep 2009

    Intern

    Bankhaus Metzler

    support for quantitative portfolio management

  • 1 year and 1 month, Apr 2008 - Apr 2009

    Tutor

    Goethe Universität Frankfurt

    mentoring student seminars in physics

  • 10 months, Mar 2005 - Dec 2005

    Studentische Hilfskraft

    GOPA

    administration of GOPA-experts data base, correspondency with GOPA-experts,

Educational background for Andreas Hubener

  • 5 years and 3 months, Apr 2004 - Jun 2009

    Physik (physics)

    Goethe Universität Frankfurt

    Quantenphysik komplexer Systeme, quantum physics of complex systems

  • 7 months, Oct 2003 - Apr 2004

    Medizin

    Goethe Universität Frankfurt

Languages

  • German

    First language

  • English

    Fluent

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