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Yang Chen Email & Phone Number

Managing Director at BlackRock at BlackRock
Location: New York, United States 6 work roles 2 schools
1 work email found @blackrock.com 4 phones found area 732 and 973 LinkedIn matched
✓ Verified Jul 2026 4 data sources Profile completeness 100%

Contact Signals · 1 work email · 4 phones

Work email y****@blackrock.com
Direct phone (732) ***-****
LinkedIn Profile matched
3 free lookups remaining · No credit card
Current company
Role
Managing Director at BlackRock
Location
New York, United States

Who is Yang Chen? Overview

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Quick answer

Yang Chen is listed as Managing Director at BlackRock at BlackRock, based in New York, United States. AeroLeads shows a work email signal at blackrock.com, phone signal with area code 732, 973, and a matched LinkedIn profile for Yang Chen.

Yang Chen previously worked as Managing Director, head of Fixed Income US, Risk and Quantitative Analysis Group at Blackrock and Director, Risk and Quantitative analysis group at Blackrock. Yang Chen holds Mba, Finance from Nyu Stern School Of Business.

Company email context

Email format at BlackRock

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{first}.{last}@blackrock.com
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AeroLeads found 1 current-domain work email signal for Yang Chen. Compare company email patterns before reaching out.

Profile bio

About Yang Chen

Experienced Quantitative Investment and risk professional skilled in investment risk, quantitative investment research, portfolio construction in fixed income, multi-asset and equities.

Listed skills include Fixed Income, Risk Management, Portfolio Management, Derivatives, and 12 others.

Current workplace

Yang Chen's current company

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BlackRock
Blackrock
Managing Director at BlackRock
New York
Website
AeroLeads page
6 roles

Yang Chen work experience

A career timeline built from the work history available for this profile.

Managing Director, Head Of Fixed Income Us, Risk And Quantitative Analysis Group

Current

New York, Ny, Us

Manage a team of quant analysts supporting BlackRock’s Fixed Income business ($1tri AUM) including flagship Unconstrained Fixed Income fund (Strategic Income Opportunities) and flagship Equity allocation funds (Global Allocation); liquid Credit platform including IG, HY, Bank Loans, CLO, distressed investing hedge fund and credit allocation funds; BlackRock's Securitized platform including Agency mortgages, Non-Agency, CMBS, ABS; BlackRock Muni business and Financial Institutions Business. Previously covered BlackRock's Multi-asset investment portfolios including Multi-asset Income, Global Tactical Asset Allocation funds as well as BlackRock's Client Solutions business for OCIO for Pension, Endowment and Family Office portfolios. Previously managed a team of quantitative analysts to support BlackRock's fundamental Fixed Income portfolios including Multi-sector Core+, Investment grade Credit, Inflation, Short duration and Insurance portfolios

Jul 2012 - Present

Director, Risk And Quantitative Analysis Group

New York, Ny, Us

Manage Risk and Quantitative Analysis group for BlackRock's Financial Institutions Fixed Income Portfolio Management business

Jan 2010 - Nov 2012

Principal, Fixed Income Investment Research Officer

Barclays Global Investors (Bgi)

Principal research officer for model-based investment process for BGI’s short-duration fixed income portfolios for securities lending reinvestment program. Worked with BGI's quantitative researchers to develop quant models and signals for portfolio construction and forecasts of interest rates and credit spreads

May 2007 - Dec 2009

Fixed Income Portfolio Strategist

Us

Quantitative Portfolio Strategy Group, work with Lehman's Institutional clients on fixed income portfolio management issues such as benchmark selection, portfolio construction, alpha beta separation, portable alpha strateies. Publish research papers for institutional clients, contribute to the book "Quantitative Bond Portfolio Management".

May 2005 - Jun 2007

Aig Enterprise Risk Management, Market Risk

Aig

New York, Ny, Us

Developed firm-wide risk management process including investment risk models, predictive insurance loss models, portfolio optimization models, statistical forecasting models and process on data collection, processing, warehousing.

Feb 2000 - May 2005

Quantitative Analyst, Fixed Income Trading

Prudential Securities

Fixed income trading desk support, developed pricing models for corporate bonds, FX options, hedging strategies for interest rate products, portfolio risk models for FX and fixed income portfolios.

Jul 1997 - Feb 2000
Team & coworkers

Colleagues at BlackRock

Other employees you can reach at blackrock.com. View company contacts →

2 education records

Yang Chen education

Mba, Finance

Nyu Stern School Of Business

Ph.D, Statistics

Duke University
FAQ

Frequently asked questions about Yang Chen

Quick answers generated from the profile data available on this page.

What company does Yang Chen work for?

Yang Chen works for BlackRock.

What is Yang Chen's role at BlackRock?

Yang Chen is listed as Managing Director at BlackRock at BlackRock.

What is Yang Chen's email address?

AeroLeads has found 1 work email signal at @blackrock.com for Yang Chen at BlackRock.

What is Yang Chen's phone number?

AeroLeads has found 4 phone signal(s) with area code 732, 973 for Yang Chen at BlackRock.

Where is Yang Chen based?

Yang Chen is based in New York, United States while working with BlackRock.

What companies has Yang Chen worked for?

Yang Chen has worked for Blackrock, Barclays Global Investors (Bgi), Lehman Brothers, Aig, and Prudential Securities.

Who are Yang Chen's colleagues at BlackRock?

Yang Chen's colleagues at BlackRock include Felipe Bernardo Guzmán Bautista, Natalie Kedgley, Zoltan Hamza, Jenelle Baldie, and Jason Blackman.

How can I contact Yang Chen?

You can use AeroLeads to view verified contact signals for Yang Chen at BlackRock, including work email, phone, and LinkedIn data when available.

What schools did Yang Chen attend?

Yang Chen holds Mba, Finance from Nyu Stern School Of Business.

What skills is Yang Chen known for?

Yang Chen is listed with skills including Fixed Income, Risk Management, Portfolio Management, Derivatives, Quantitative Analytics, Financial Risk, Bonds, and Capital Markets.

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