Luda Meng
***** ****** *** *** ***, Los Angeles, CA 90024
415-***-****, *****.***.****@*****.***
EDUCATION
University of California, Los Angeles Los Angeles, CA Bachelor of Science in Statistics, Minor in Mathematics September 2014-June 2016
• Major GPA: 3.36
• Relevant courses: Probability, Linear Models, Mathematical Statistics, Data Analysis Regression, Data Mining, Computational Statistics with R, and Financial Mathematics EXPERIENCE
China International Capital Corporation Limited (CICC) Beijing, China Intern, Financial Department Aug 2015-Sep 2015
• Audited aggregate expense reports and calculated balances for individual reports
• Classified expense report records based on variables such as department, time and location
• Cooperated with manager to correct the report, and saved the company thousands of dollars
• Analyzed over one hundred expense reports per day
• Communicated with employees to obtain information on individual line items when necessary Club Z In Home Tutoring Los Angeles, CA
Tutor October 2016-Present
• Tutored 6th-12th grade students in the subjects of Algebra, Calculus, Geometry and Statistics
• Demonstrated the concepts or formulas, and guided students to solve homework problems
• Assisted students in developing personal learning strategies
• Consulted with parents regarding students’ progress PROJECTS
Value of Property
• Analyzed which variables are related to the valuation of house property
• Built multivariate model in R to predict housing property values and calculate MSE, the difference between the estimator and what it was estimated
• Submitted it into the Kaggle, a platform for analytics competition and ranked above average
• Model analyzed 87,000 observations and 95 variables in the data set
• Led team members to finish the prototyping
Marketing Analysis
• Analyzed the relationship between browsing and purchasing behavior
• Visualized the purchasing behaviors in different region of the United States in R
• Compiled a statistical report which contained logistic regression model, covariance analysis, odd ratios and visualization
• Included 3,780,000 observations and 203 variables in the data set pulled from Edmunds Company Portfolio Management
• Selected 25 stocks in 5 sectors from finance.yahoo.com
• Constructed the composition of optimum portfolio in different models, such as single index and constant correlation model, and also calculated its expected return and standard deviation
• Analyzed portfolio performance by using Sharp Ratio and Treynor Measure SKILLS __
• Software: R Studio, SAS, STATA, SPSS, Microsoft Office (Word, Excel)
• Language: Fluent in English and Chinese