Nathan Flom, CFA, is a Lead Market Risk Analyst with extensive experience in the insurance industry, focusing on asset-liability management strategies, liquidity stress testing, and stress scenario modeling. They have held various positions at MetLife, including Associate Director and Director in Investments Portfolio Management, where responsibilities encompassed product development and new business pricing for institutional retirement solutions. Nathan has also completed internships at Mercer and EY, contributing to expertise in retirement, risk, and quantitative advisory services. They hold a Bachelor's Degree in Math-Statistics and Economics as well as a Master’s Degree in Financial Statistics & Risk Management from Rutgers University-New Brunswick.
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