Amir Sadr
About the Author
Amir Sadr is a distinguished financial engineer and educator with over two decades of experience in quantitative finance, risk management, and derivatives modeling. Holding advanced degrees in mathematics and finance, he has held senior positions at leading investment banks and hedge funds, where he developed innovative trading strategies and risk assessment frameworks. As an author, Sadr bridges complex mathematical concepts with practical applications, making advanced topics accessible to professionals and students alike. His work has been instrumental in shaping the curriculum of top MBA and financial engineering programs worldwide. Passionate about demystifying the intricacies of modern finance, Sadr continues to lecture and consult, influencing the next generation of quants and traders.
Books by Amir Sadr
