Financial Economics, Asset Pricing, Financial Econometrics
Peter Van Tassel is a financial research economist in Capital Markets Studies within the Financial Stability Policy Research Division. His research interests are in financial economics,
asset pricing, and financial econometrics. He holds a Ph.D. in Economics from
Princeton University and a B.S. in Economics and Mathematics from Duke
University. Prior to graduate school, he worked as an Analyst in the Securities
Division at Goldman Sachs.
Peter Van Tassel CV