معرفی
Brian Haughey serves as an Associate Professor of Finance at Marist College's School of Management, leveraging over 20 years of securities industry experience to bridge academic theory with real-world financial practice. Previously leading Citigroup's Special Situations Group, he structured esoteric asset-backed securities and managed billion-dollar portfolios before being recruited to develop Marist's Investment Center and student-run Greystone Equity Fund.
His academic credentials include:
- BS from University College Dublin, Ireland
- MBS from University College Dublin, Ireland
Professor Haughey's research centers on Risk Management, Equity Investing, Fixed Income Analytics, Derivatives, and Structured Products, with emphasis on translating complex financial instruments into accessible educational frameworks. His work consistently addresses practical risk mitigation strategies and market exposure identification, reflecting his industry background in exotic structured finance.
His publication record demonstrates focused expertise in fixed income mechanics, with AAII Journal articles systematically deconstructing bond pricing, interest rate sensitivity, and convexity concepts. The co-authored Wiley Finance book extends this practical approach to market risk hedging, collectively forming an educational corpus designed to demystify sophisticated finance for students and practitioners.
No scientific awards are documented, though he maintains the Chartered Financial Analyst (CFA), Financial Risk Manager (FRM), and Chartered Alternative Investment Analyst (CAIA) certifications as industry-recognized professional credentials.
Through the Greystone Equity Fund, Professor Haughey provides direct mentorship in portfolio management while developing specialized curricula for CFA preparation and structured finance. His ongoing consulting for credit rating agencies on exotic transactions demonstrates continuous industry engagement beyond classroom instruction.
The Investment Center under his direction operates as Marist's financial trading laboratory where students execute real investment strategies, creating a live-market learning environment that integrates his industry-developed risk management frameworks into undergraduate finance education.





