
معرفی
Allan M. Malz is an Adjunct Professor at Columbia University and an investment consultant with extensive experience in financial risk management and policy. His work focuses on forecasting financial crises, risk measurement, and regulatory responses to economic challenges.
Education:
- Ph.D., Columbia University
- Diplom, Ludwig-Maximilians-Universität München
Research Interests:
Malz specializes in financial risk management, with a focus on market forecasting, options risk measurement, and monetary policy. His forthcoming book, Contemporary Finance: Money, Risk, and Public Policy, addresses the historical context of recent financial crises and policy responses.
Professional Experience:
He has served as Chief Risk Officer at multi-strategy hedge funds, conducted research at the Federal Reserve Bank of New York, and led initiatives at the RiskMetrics Group. During 2009–2014, he contributed to the implementation of the TALF liquidity program at the New York Fed.
Allan M. Malz در سایتهای دیگر
جستوجوهای مرتبط
شاید اینها هم برایتان مناسب باشند
Mikhail ChernovUniversity of California, Los Angeles · استاد
Victor ValcarcelUniversity of Texas at Dallas · دانشیار
Markus K. BrunnermeierUniversity of Zurich · استاد
Bruce MizrachRutgers, The State University of New Jersey · استاد
Puriya AbbassiFederal Bank of Germany University · استاد پژوهشی
Clemens KownatzkiPepperdine University · دانشیار