Tümer Kapan

Portfolio Risk Manager, Fannie Mae

Tümer Kapan is Portfolio Risk Manager in the Capital Markets Risk Management department of Fannie Mae. Previously he worked on financial litigation matters. He holds a PhD in Economics from Columbia University and undergraduate degrees in Mathematics and Economics from Bogazici University. Tümer’s research interests are international banking and monetary policy.

Content by this Author

Articles by tümerkapan0

CEPR Policy Research