Pratik has over 8 years of experience into Fixed Income research. He is skilled in credit research, including financial modelling, report writing, investment recommendations, and bond and index spread analysis. Currently, Pratik supports European buy-side firm with credit and fixed income market research. He has a strong reputation among client traders and portfolio managers for a high percentage of correct rating calls. He holds a postgraduate diploma in Business Analytics form Great Lakes Inst. of Management (India) & Stuart School of Business (IIT, Illinois), and an MBA in Finance.