David H. Goldenberg

Associate Professor

Professor Goldenberg’s research explores derivatives markets and mathematical finance. Many of his articles have been featured in the top-tier finance journals including the Journal of Financial Economics, the Journal of Financial and Quantitative Analysis, Management Science, the Journal of Financial Research, Financial Review, and the Journal of Futures Markets.

Education

Ph.D. in Financial Economics, University of Florida; M.Sc. in Pure Mathematics and Applied Mathematics, Brown University; B.A. in Mathematics and Philosophy, University of Toronto

Research Focus
  • Derivatives Markets
  • Investments and Corporate Finance
Contact goldenb@rpi.edu