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Eric Ben-Artzi
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Eric Ben-Artzi, Ph.D., specializes in financial risk and valuation modeling and analysis. Eric began his Wall Street career at JPMorgan, later joining Citigroup where we modeled, structured, priced and traded credit correlation products. He moved to Goldman Sachs as a strategist-VP in 2007, where he built models in the commodities and credit derivative space, before joining Deutsche Bank in 2010 as a quantitative risk officer, developing risk and market management models.  Eric has since been involved in the financial technology space (fin-tech), working with firms, including BondIT, based in Israel.  Eric Ben-Artzi holds a PhD in mathematics from the Courant Institute at NYU.
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