Vipul Mantri earned his bachelor¹s degree in mechanical engineering from Indian Institute of Technology (IIT) Bombay in 2011. After graduation, he worked as a market risk analyst for three years at Gravitas, where he worked in supporting market risk framework for asset management fund and hedge fund clients across fixed income and equity asset classes. He worked closely with the risk and portfolio managers to analyze portfolio risk, understand risk profile of complex securities, perform stress testing, and develop valuation and risk models. This valuable exposure to quantitative finance and his keen interest in capitals markets led him to
join the MSCF program, through which he wants to further develop his quantitative and analytical skills. Upon graduation, he wishes to pursue a career in asset management or quantitative trading.