James Hagan

Manager - Market Risk And Default Management

James Hagan is an experienced finance professional specializing in market risk and default management. Currently serving as Manager of Market Risk and Default Management at OCC since January 2015, James conducts monitoring and reviews of member risks related to expected shortfall and Value at Risk (VaR), implementing protective measures against risk-based behaviors. Prior to OCC, James held multiple roles at TD Ameritrade, including Senior Analyst and Block Desk ETF Trader, where substantial revenue was generated for the firm. James also worked as a Derivatives Broker, contributing to system integrations and team training, and provided support for active traders through technical assistance. James holds an MBA in Strategic Management from the University of North Texas and a Bachelor's degree in Telecommunications and History from Texas Tech University.

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