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Raj Agarwal
Portfolio Manager
Raj is working on volatility derivatives strategies at BRC. He brings 7 years of diverse experiences at leading financial institutions. At Nomura, he managed an Asia Structured Cross-Asset Trading Desk, and at Barclays in Mumbai, he expanded the EMEA Structured Credit Trading Business as an AVP.
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His expertise lies in risk management, derivatives trading, and technology. He holds a Bachelor's and a Master's degree in Technology from the prestigious Indian Institute of Technology, Bombay (IIT-Bombay). Outside of work, Raj enjoys skiing, swimming, music, and chess.
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