Richard H. Stanton

Professor | Kingsford Capital Management Chair in Business · Haas School of Business, University of California, Berkeley

Leading expert on mortgage markets

Employee stock options (ESOs) Term structure modeling Mortgage and lease markets Mutual funds and risk management

Alex Hsu

Assistant Professor · Scheller College of Business - Georgia Tech

Alex Hsu is an expert in fixed income, asset pricing and the interface between macroeconomics and finance.

Fixed Income Theoretical and Empirical Asset Pricing Macroeconomics

Shawn Howton, PhD

Faculty Director, The Daniel M. DiLella Center for Real Estate; Professor of Finance | Villanova School of Business · Villanova University

Shawn Howton, PhD, is an expert in commercial real estate.

Business Corporate Social Responsibility Corporate Governance Mortgage Backed Securities Fixed Income Markets

L. Todd Wood

Editor-in-Chief · Creative Destruction Media/Tsarizm.com

Specialist in the National Security Threat from Economic Weakness and Sovereign Debt/The Russian Situation

National Debt Bond Market Russian Issues

Leslie E. Papke

Professor of Economics · Michigan State University

Leslie Papke is an expert on public retirement systems, savings behavior, and school finance in Michigan.

Teacher Retirement Systems School Finance Public Retirement Systems

Terrence Hendershott

Professor | Willis H. Booth Chair in Banking and Finance II | Faculty Director, Master of Financial Engineering Program · Haas School of Business, University of California, Berkeley

Information Technology in Financial Markets Financial Market Regulation Over-the-Counter Markets High-frequency Trading Algorithmic Trading

Michael Ehrlich

Associate Professor of Finance and Co-Director of NJ Innovation Acceleration Center · New Jersey Institute of Technology

Professor Ehrlich's research focuses on financial markets and institutions, with an emphasis on market failures

Innovation Commercialization of Innovation Market Failures Financial Crises Financial Markets

Zhenyu Wang

Professor of Business Finance · Indiana University, Kelley School of Business

Professor Wang has published research on equity, fixed income, derivative securities, asset management, and financial econometrics.

Financial Markets Financial Intermediation Derivatives Securities & Corporate Finance Risk Management

Tarun Chordia

R. Howard Dobbs, Jr. Chair and Professor in Finance · Goizueta Business School

Market Micro-Structure Liquidity Asset Pricing Financial Institutions

Michael Pagano, PhD

Professor and Chair of Finance | Villanova School of Business · Villanova University

Michael Pagano, PhD, is an expert on financial institutions, financial markets, risk management, investments, and international finance.

Business Financial Markets Valuation Risk Management Mutual Funds

Sudheer Chava

Alton M. Costley Chair; Professor; Area Coordinator, Finance; Director, Quantitative & Computational Finance (QCF) Program · Scheller College of Business - Georgia Tech

Professor Chava is an expert in the areas of credit risk, banking and corporate finance.

Banking Corporate Finance QCF Finance Business Analytics

Michael Melvin

Executive Director, Master of Finance Program · UC San Diego

Michael Melvin’s research is in investments and international finance focuses on real issues facing global investors.

International Investments Exchange Rates Market Microstructure International Finance and Monetary Economics International Equity Markets

Gregory W. Brown

Professor of Finance, UNC Kenan-Flagler Business School · UNC at Chapel Hill

Greg Brown researches financial risk, using financial derivative contracts as risk management tools and private investment strategies.

Finance Private Capital Private Equity Hedge Funds Portfolio Management

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