A derivative mortgage trader for more than 5yrs, Anna Martynovas experience and expertise lie in the fixed income world of sales and trading. She brings a solid understanding of fixed income portfolio and risk management, developing and implementing fixed income trade ideas as well as total rate of return, relative value analysis and hedging strategies using swaps, options and treasury securities.
Prior to her current teaching work, she was a structured residential mortgage-backed securities trader at Morgan Stanley, NY and worked as securities analyst at Mortgage Funding department at Freddie Mac, VA.
Anna Martynova is an Adjunct Professor at Iona College, Concordia University and Graduate School of University of Bridgeport.
Mortgage-Backed Securities
Fixed Income Structured Products
Fixed Income Trading
Risk Management
Chartered Financial Analyst (CFA) Program, Level III Candidate
MS in Economics from Baylor University
BS in Finance from George Mason University