Steven Rapkin

Financial Economist
Office of Research and Data Services

Education Summary

  • M.B.A. Finance, Stern School of N.Y.U., 2000
  • M.S. Computer Science, Cornell Univ., 1990
  • A.B. Mathematics, Harvard Univ., 1983

Fields of Interest

  • Financial Forecasting and Simulation
  • Portfolio Choice and Investment Decisions
  • Financial Information Technology
  • Financial Economist
    Division of Economic and Risk Analysis
    U.S. Securities and Exchange Commission
    2014–present
  • Vice President
    Fixed Income Quantitative Information Technology
    AllianceBernstein
    2011–2014
  • Vice President
    Risk Management
    Drake Management
    2005–2009
  • Associate
    Securitized Products Group, Information Technology
    Morgan Stanley 2003–2005
  • Manager
    Quantitative Research
    Moore Capital Management
    2000–2002
  • Associate
    Investment Systems
    TIAA-CREF
    1999–2000
  • Associate
    Fixed Income Research
    Goldman, Sachs & Co. 1994–1999
  • Assistant Professor/Lecturer
    Dept. of Computer Science
    College of William and Mary
    1993–1995
  • Financial Economist
    Central Research Labs, Tokyo
    NEC
    1987–1989
  • Mathematics Lecturer
    Mindanao State Univ. (Philippines)
    U.S. Peace Corps
    1984–1985

Previous SEC Positions: