
معرفی
Anh Tran is an Assistant Professor at the University of Connecticut, specializing in Finance Education. His research focuses on asset pricing, mutual funds, and corporate governance, with significant contributions to understanding investor behavior and market dynamics.
- PhD in Finance (minor in Statistics) from the University of Rochester
- MS in Applied Economics from the University of Rochester
- MS in Finance from the University of Utah
- BE in Engineering from Ho Chi Minh City University of Technology
Tran's work examines return-chasing phenomena in retirement investments, the role of financial markets in credit bubble mitigation, and regulatory impacts on fund governance. His publications address empirical finance, investment strategies, and market compliance.
Recent publications highlight trends in behavioral finance, securities lending practices, and SEC regulatory signaling. His research bridges theoretical asset pricing models with practical implications for portfolio management and corporate governance structures.
Anh Tran teaches courses including FNCE 3303: Principles of Investments and Derivatives and FNCE 4410: Security Valuation and Portfolio Management. Contact details: Office in Room 383, Stamford Campus, phone (203) 251-8469, and email anh.2.tran@uconn.edu.
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