Adjunct Prof. John Bowden

Adjunct Professor of Finance at Baruch College
Mr. Bowden is a risk manager with over 20 years’ experience working at a variety of global investment banks. In his current role as a credit risk manager at ING Financial Markets, a subsidiary of ING Bank NV, he is responsible for managing the credit risk of a portfolio of hedge funds, banks, broker-dealers, and REITs. His extensive product knowledge includes fixed income, equities, structured products, leveraged loans, commodities, and derivatives. Mr. Bowden has held risk management and sales positions at Goldman Sachs, Morgan Stanley, Dresdner Kleinwort, Commerzbank, and Mitsubishi Securities. He is a CFA charterholder and is a member of the CFA Institute. Mr. Bowden received an MBA from Fordham University’s Graduate School of Business in 2003 and a Bachelor of Science from Fordham University in 1998. In addition to his day job at ING, he is also an Adjunct Professor of Finance at Fordham University’s Gabelli School of Business and a member of the Board of Directors of Capital Markets Credit Analyst Society (CMCAS). He lives in Leonia, New Jersey with his wife and two sons.


Principles of Finance