Fidelio Tata

Fidelio is a professor of finance and provides fairness opinions on se­cu­ri­ties, de­ri­va­tives and digital assets. Fidelio's ex­perience in the fi­nancial markets and the in­vest­ment in­dustry spans some 30 years and includes po­si­tions in in­sti­tu­tional sales, de­ri­va­tives marketing, fixed-income re­search / stra­te­gy and risk ma­na­ge­ment. He is a ve­te­ran of top Wall Street firms in­clu­ding JPMorgan, Credit Suisse, HSBC and Societe Generale.

Fidelio’s extensive teaching ex­perience in­cludes de­velop­ing a glo­bal de­ri­va­tives training pro­gram, serving as frequent guest speaker at con­ferences, and training central banks in asset and lia­bi­li­ty ma­na­ge­ment. He is the author of the Palgrave Macmillan textbooks "Bank Asset-Liability Management" and "Cor­po­rate and In­vest­ment Banking."

​Fidelio's teaching, con­sulting and publi­shing focus on financial markets, banking, de­ri­va­tives and digi­tal assets.