Tahar Mjigal

As a member of the Investment Committee at the International Capital Management Corporation, Mr. Mjigal provides valuable research, technical analysis, and risk control discipline to the portfolio management process. He earned his B.S. in Engineering Statistics and Applied Economics from the National Institute of Statistics and Applied Economics in Rabat, Morocco. He then went on to receive his MBA with an emphasis in Finance and International Business from Oklahoma City University, completing his thesis on Portfolio Risk Management. He is also the regional director of the Global Association of Risk Professionals (GARP) Dallas Chapter.
 Tahar Mjigal

By same author

The author has included many interviews with fund managers, advisors, and professional traders in order to learn.....

Read More

You Shall Not Labor!

Want to guess what I'm saying here?

See you this coming Tuesday,  September 5th! Thanks!