
Qidong (Tony) Zhang
Ph.D.


Experienced Credit risk professional with a demonstrated history of strong analytical ability. Skilled in Finance and Credit Risk Management, Leveraged Finance, Structured Products & Portfolio Optimization and modeling.
Qidong (Tony) Zhang is an experienced Credit risk professional with 15.9 years of work experience. He has a strong analytical ability and is skilled in finance and credit risk management. Qidong has worked at reputable companies such as HSBC, Morgan Stanley, S&P Global, Moody's Investors Service, and HSBC. He has held positions in financial modeling, fixed income, quantitative finance, valuation, and portfolio management. Qidong is based in the United States and has a demonstrated history of strong analytical abilities.
London,England,United Kingdom
Financial Services
United States
Morgan Stanley (NYSE: MS) is a leading global financial services firm providing a wide range of investment banking, securities, wealth management and investment management services. With offices in 42 countries, our firm's employees serve clients worldwide including corporations, governments, institutions and individuals. We are committed to maintaining the first-class service and high standard of excellence that have always defined the firm and everything we do is guided by our five core values: Do the right thing, put clients first, lead with exceptional ideas, commit to diversity and inclusion, and give back.
United States
S&P Global (NYSE: SPGI) provides essential intelligence. We enable governments, businesses and individuals with the right data, expertise and connected technology so that they can make decisions with conviction. From helping our customers assess new investments to guiding them through sustainability and energy transition across supply chains, we unlock new opportunities, solve challenges and accelerate progress for the world. We are widely sought after by many of the world’s leading organizations to provide credit ratings, benchmarks, analytics and workflow solutions in the global capital, commodity and automotive markets. With every one of our offerings, we help the world’s leading organizations plan for tomorrow, today. For more information, visit www.spglobal.com. Our divisions include: – S&P Global Market Intelligence partners with customers to broaden their perspective and operate with confidence by bringing them leading data sources and technologies that embed insight in their daily work. – S&P Global Ratings offers critical insights for credit, risk and sustainable finance solutions that are essential to translating complexity into clarity, so market participants can uncover opportunities. – S&P Global Commodity Insights enables organizations to create long-term, sustainable value with data and insights for a complete view on the global energy and commodities markets. – S&P Global Mobility turns invaluable insights captured from automotive data to help our clients understand today’s market, reach more customers, and shape the future of automotive mobility. – S&P Dow Jones Indices provides iconic and innovative index solutions, bringing transparency to global capital markets. – S&P Global Engineering Solutions solves for tomorrow’s challenges today by transforming workflows and end-user experiences with data, insights and technology
United States
Moody's Investors Service is a leading provider of credit ratings, research, and risk analysis. Moody's commitment and expertise contributes to transparent and integrated financial markets. The firm's ratings and analysis track debt covering more than 135 sovereign nations, approximately 5,000 non-financial corporate issuers, 4,000 financial institutions issuers, 18,000 public finance issuers, 11,000 structured finance transactions, and 1,000 infrastructure and project finance issuers. Moody's Investors Service is a subsidiary of Moody's Corporation (NYSE: MCO), which reported revenue of $4.2 billion in 2017, employs approximately 12,300 people worldwide and maintains a presence in 42 countries Visit our LinkedIn Careers Page at: moodys.com/LIcareerspage
Financial Modeling
Fixed Income
Quantitative Finance
Valuation
Finance
Equity Research
Credit
Quantitative Analytics
Financial Analysis
Portfolio Management
Credit Risk
Vba
Analysis
Bloomberg
R
Bonds
Monte Carlo Simulation
Risk Management
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