Finance & Python Tutor｜Mr. Eric
He has vast experience in the test preparation. Some of the clients he has taught have achieved their expected goal and have been accepted by the Finance Department of National Taiwan University (top ranking university in Taiwan) and Ivy League University.
What can Eric help you with?
Teaching starts from the outline, putting the important knowledge points of each chapter under the outline, leaving a deep impression on you.
By analysing the connection between the topic and the future work, you can fully understand the context of the knowledge and ultimately apply it to work.
Who is Eric ?
He graduated from the Mathematics Department of National Taiwan University with a double degree major in mathematics and finance, then he went to the United States to study master and has been working there since. Mr. Eric has a calm and patient character, and enthusiasm about teaching.
Eric is a critical thinker, specialized in quantitative analysis and financial modeling. He had a bachelor degree in mathematics and master degree in quantitative finance. His tutoring career has been almost ten years, courses including mathematics, statistics, financial market, corporate finance, derivative pricing and programming(Python, R, SAS, Power BI, Excel VBA), etc. He passed Financial Risk Manager(FRM) and Certified Financial Analyst(CFA) and shared the experiences with his students. In leisure time, he liked to play basket ball, watched movies and played video games.
National Taiwan University Mathematics Department and Finance Department Double Major
Master of Finance at George Washington University
Currently working in the US headquarters of a large multinational financial company, engaged in financial analysis, specialising in interest rate exchange and bonds.
CFA Level 3
FRM Levels 2
TOFEL 107, sGRE 88%
What Eric wants to say to students:
The combination of financial coaching and practice experience in the industry enable students not only
The combination of financial coaching and practice experience in the industry enables students not only to understand the content of the course, but also to apply their knowledge to the real financial market framework.