
Danil Ohiichenko
I'm interested in how markets price risk across equities, credit, and macro environments. In my own time, I build valuation models, study financial statements, and analyze how shifts in liquidity, policy, and capital structure affect asset pricing.
Professional Experience
British Columbia Investment Management Corp
May 2026 – Dec 2026Selected for a competitive valuation internship at one of Canada's largest institutional asset managers ($295B+ AUM), supporting valuation of public equities, fixed income securities, and private funds.
TD Canada Trust
Feb 2025 – Jul 2025Structured lending solutions within TD's credit framework and co-developed an Excel-based underwriting tool to improve credit decision consistency.
TD Canada Trust
Jan 2024 – Jan 2025Generated $1M+ in investment referrals and supported small-business clients in accessing $500K+ in credit products.
Leadership & Involvement
Ted Rogers Alternative Investments Club
Jan 2026 – PresentLead weekly research discussions and mentor analysts through thesis development across digital assets, translating macro, regulatory, and liquidity trends into structured investment frameworks and sector outlook reports.
Student Managed Investment Fund (FIN650)
Sep 2025 – Dec 2025Managed a $900K+ real-money portfolio, building detailed valuation models and delivering investment pitches supported by financial modeling, industry research, and risk/return analysis.
Education
Toronto Metropolitan University
Bachelor of Commerce – Finance (Expected 2027)
Focused on investment research, valuation modeling, and global finance.
Skills & Certifications
Technical Skills
Excel (Advanced), VBA, Python, PowerPoint, Bloomberg Terminal, Capital IQ, Financial Modeling, Data Analysis
Functional Skills
Credit Analysis, Investment Analysis, Financial Statement Analysis, Valuation (DCF, Comparable Analysis), Market Research, Risk Assessment, Capital Structure Analysis
Certifications
CFA Level I Candidate (May 2026), Bloomberg Market Concepts (BMC)
Concepts
Discounted Cash Flow (DCF), Comparable Company Analysis, Weighted Average Cost of Capital (WACC), Duration & Convexity, Bond Pricing, Sensitivity & Scenario Analysis, Capital Structure & Liquidity Analysis