Robinhood Risk Analyst Interview Questions
The questions to prepare for a Robinhood Risk Analyst interview. Questions from real interview reports rank first. Updated weekly.
Tests risk framework design for onboarding a new volatile asset class at Robinhood.
RobinhoodTests understanding of market-structure liquidity and capital management mechanisms relevant to Robinhood.
RobinhoodTests understanding of distributional assumptions and their impact on tail risk modeling at Robinhood.
RobinhoodTests portfolio credit risk reasoning about dependence and its effect on joint default probabilities at Robinhood.
RobinhoodExplain how to tune a slow PostgreSQL query that joins several large transaction tables using indexes, join strategy, and partitioning.
RobinhoodTests risk metric selection and monitoring strategy for margin leverage changes at Robinhood.
RobinhoodEvaluates risk taxonomy and your ability to connect concepts to Robinhood’s trading environment.
RobinhoodAssesses practical data skills and how you connect analysis to product decisions.
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Compute daily active users and a 7-day rolling average using a CTE, distinct counts, and window functions.
Meta
Spotify
Meta ITUse a LEFT JOIN and MIN/MAX aggregation to find each Robinhood user's first and last resource access times.
RobinhoodAnalyze weekly service delivery performance by team using joins, a CTE, date aggregation, and KPI calculations.
Deloitte
Reputation