معرفی
Harvey Stein is an Adjunct Professor at Columbia University's Department of Mathematics, specializing in Mathematical Finance. He currently serves as Senior Vice President in the Labs group at Two Sigma, focusing on research projects across the firm. Prior to this, Stein spent nearly three decades (1993-2022) at Bloomberg, where he led critical departments including Quantitative Risk Analytics, Counterparty and Credit Risk, Interest Rates Derivatives, and Quantitative Finance R&D.
- Education: PhD in Mathematics (University of California, Berkeley, 1991), B.S. in Mathematics (Worcester Polytechnic Institute, 1982)
As an industry expert, Stein has published and lectured extensively on topics spanning credit risk modeling, financial regulation, interest rate/FX modeling, CVA calculations, mortgage-backed security valuation, and pandemic data analysis. His academic affiliation complements his professional leadership roles, including board positions at the IAQF and Rutgers University's Mathematical Finance program, and organizing the IAQF/Thalesians financial seminar series. Stein also contributed research to Bloomberg's 2020 presidential campaign analytics.



