|Finance and International Business Jason Muenzen|
|Financial markets, financial crisis, hedge funds, proprietary trading|
Director of the Investment Program and instructor in the Department of Finance and International Business, Muenzen can discuss financial crisis, hedge fund management, the state of financial markets, and proprietary trading.
Muenzen has extensive industry experience working for Goldman Sachs and Kohlberg Kravis Roberts. During his time in the industry, he traded products across the capital structure including equity, equity derivatives, credit, convertible bonds and credit default swaps. He also managed the foreign currency risk across the Americas for a multinational corporation.
“Studying financial markets involves researching a broad spectrum of areas that all tie together. Company management, economic demand and geo-politics, to name a few, all play a role in deciding which direction the markets are headed and which crisis might be on the horizon.”
Faculty Page for Jason Muenzen
M.B.A., New York University Stern School of Business
Concentration in quantitative finance and economics
B.S., Ithaca College