Stephen Ahn is currently the Executive Director of Market Risk Analytics at Morgan Stanley, where they focus on derivatives and fixed income market and counterparty risk. Previously, Stephen held multiple senior roles at BNY Mellon, including VP and Managing Director of Counterparty Risk Modeling. They are pursuing a B.A. in English Literature with an emphasis in Physics/Mathematics at Yale University and a Master's degree in Financial Mathematics at the University of Chicago. Stephen has demonstrated expertise in market risk and counterparty risk, utilizing skills in programming and simulation modeling.
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