Martin Janíčko, PhD, FRM

I am a Prague-based quantitative risk professional, modeller and economist, currently working as a Head of Risk Dpt at MND a.s. (and, to a much lesser extent, as an Economist). In the past, I spent virtually six years with Moody's Analytics, mainly as a Risk Modeller and Economist. Prior to that, I had also worked at ExxonMobil as a Credit Analyst. In addition to my work in the private sector, I'm still active in academia, teaching and occasionally conducting research at the Prague University of Economics and Business and the Institute of Economic Studies, Charles University. My Google Scholar page can be found here and my Research Gate page here. Similarly, I am in contact with the media, to comment on recent financial and/or macroeconomic events. Also, on my GitHub site you can find some of my more general codes. Please reach out if you want to contribute or collaborate.

I earned a PhD. in economics from the Prague University of Economics and Business, along with one of my master's degrees. Additionally, I obtained another master's degree and a "PhDr." title in international relations from Charles University in Prague.  My academic journey included valuable experiences studying and lecturing abroad, notably in France, Denmark, and Lithuania. In terms of professional certifications, I hold the designation of Financial Risk Manager (FRM). 

Since 2021, I have served as a member of the Supervisory Board of Transparency International Czech Republic.

In my free time I do enjoy all sorts of sport activities, including running, skiing, playing football, tennis, badminton, squash, or chess, but I equally like reading, travelling, and, more recently, playing my uke.

I am also a member of Mensa.

My detailed CV can be found on LinkedIn.