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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.
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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