معرفی
Richard V. Hrvatin holds the position of Adjunct Associate Professor of Economics at The Peter J. Tobin College of Business, St. John's University. He teaches graduate-level courses in Market Risk Management (FIN 628) and Financial Derivatives (FIN 668). His academic background includes an MBA in International Finance from St. John's University and a BS in Manufacturing Engineering from Rochester Institute of Technology.
While specific research interests are not detailed in the text, his teaching focus suggests expertise in risk management, financial instruments, and global financial systems. No academic awards, grants, or publications are listed in the provided information. Contact him via his university email link provided on the site.
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