معرفی
Eric McAlley is an Assistant Teaching Professor of Finance at Quinnipiac University, blending 24 years of Investment Management experience with academic instruction. His expertise spans Finance, Wealth Management, Corporate Finance, and Fixed Income, connecting theoretical concepts to practical applications in financial markets.
Education:
- BBA from Pace University, New York, NY
- MBA from Pace University, New York, NY
- DPS from Pace University, New York, NY
Dr. McAlley's research focuses on regulatory impacts on financial instruments, analyzing swap spreads, central clearing, Dodd-Frank Title VII, and the CDS-Bond Basis. His work bridges academic theory with real-world insights from his roles as a Fixed Income portfolio manager, risk manager, and head of operations.
Publications highlight trends in derivatives markets, bond spreads, and regulatory frameworks, including studies on pre/post-crisis market behaviors, central clearing's effect on financial stability, and the interplay between swaps, volatility, and market dynamics. Key subfields include interest rate swaps, credit risk indicators, and portfolio management strategies.
He teaches courses like FIN 310 Investment Analysis, FIN 380 Intermediate Corporate Finance, and FIN 440 Introduction to Fixed Income Analytics, offering students hands-on financial expertise. His office is located at The Dome 229, and he welcomes media inquiries via his LinkedIn profile and contact details.
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