Senior Lecturer About Thomas Coleman Thomas Coleman, PhD'84, is focused on teaching students about financial markets. In 2012 Coleman returned to the University of Chicago, first as Executive Director and Senior Advisor at the Becker Friedman Institute for Research in Economics and then in 2015 as lecturer at Harris. Prior to returning to the University of Chicago, Coleman worked in the finance industry for over twenty years, with considerable experience in trading, risk management, and quantitative modeling. Positions included head of Quantitative Analysis and Risk Control at Moore Capital Management, LLC; a director and founding member of Aequilibrium Investments, Ltd., a London-based hedge fund manager; roles on the sell side in fixed income derivatives research and trading at TMG Financial Products, Lehman Brothers, and S.G. Warburg in London. Coleman is the author of Quantitative Risk Management, published by Wiley and A Practical Guide to Risk Management published by the Research Foundation of the CFA Institute. Before entering the financial industry, Coleman was an academic, teaching graduate and undergraduate economics and finance at the State University of New York at Stony Brook. Coleman earned his PhD in economics from the University of Chicago, and his BA in physics from Harvard. Contact Information Room 3037 tscoleman@uchicago.edu Curriculum Vitae Personal webpage Recent News More news Student Profile: Namuka Ishii, MPP Class of 2024 Thu., May 02, 2024 Student Profile: Carrie Collins, MPP Class of 2024 Tue., April 30, 2024 Alumni Profile: Eloísa Ávila-Uribe, MACRM’23 Fri., April 26, 2024 Upcoming Events More events Harris Reunion Weekend 2024 Fri., May 03, 2024 | 12:00 PM 1307 E. 60th Street Chicago, IL 60613 United States Data and Policy Summer Scholars Program (DPSS): Deep-Dive Conversation with Jose Macias and Alexandra Sobczynski Mon., May 06, 2024 | 7:30 PM International Policy Action Lab Mini Class with Austin Wright Tue., May 07, 2024 | 6:00 AM