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Jian P Chen

Portfolio Risk And Performance at OppenheimerFunds

Jian P Chen, CFA, is an experienced finance professional with a strong background in portfolio risk, market risk management, and equity research. Currently at OppenheimerFunds since December 2014, Jian focuses on portfolio risk and performance. Prior roles include market risk management at Jefferies Group, LLC, and equity research analyst positions at Oppenheimer & Co. and Bear Stearns, where Jian specialized in analyzing financial profiles of emerging markets and developing quantitative models for market valuations. Jian's experience also includes corporate financial analysis at Zurich Financial Services and accounting at Rochdale Securities. Jian holds an MBA in Information System Management and a BBA in Accounting from Baruch College.

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