About the Author
Dr. Mourad Mazouni
Dr. Mourad Mazouni is a quantitative finance professional with extensive experience in derivatives pricing, corporate valuation, and risk management. His career spans investment banking, asset management, and academic research.
"From Equations to Capital" represents the culmination of years of practical experience combined with rigorous academic foundations. The work bridges the gap between theoretical finance and real-world capital allocation decisions.
Areas of Expertise
- Derivatives Pricing & Structured Products
- Corporate Valuation & M&A Advisory
- Risk Management & Portfolio Optimization
- Quantitative Trading Systems
- Machine Learning in Finance