Leon H. Tatevossian

Associate
Adjuncts
318 S. W. Mudd Building
+1 917-699-6400
+1 212-499-7486
Leon Tatevossian was a director in Group Risk Management at RBC Capital Markets, LLC from 2009 to 2016.  At RBC he covered market risk for securitized products in secondary trading, origination, and proprietary-trading areas.  Leon has twenty-eight years of experience in the fixed-income capital markets, including positions as a trader, quantitative strategist, derivatives modeler, and market-risk analyst.  In 2006-07, he was a principal/senior trader in the MBS/ABS principal-investment group at Banc of America Securities.  Since 2009 he has also been a fellow/adjunct instructor in the Mathematics in Finance Program at NYU-Courant Institute.  Leon's product background includes US Treasury securities, US agency securities, interest-rate derivatives, MBSs, and credit derivatives. He graduated from MIT (SB, mathematics) and was a graduate student in mathematics (algebraic number theory) at Brown University.


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