معرفی
Jeffrey H. Harris holds the Gary D. Cohn Goldman Sachs Chair in Finance at the Kogod School of Business, American University. A distinguished scholar with extensive regulatory experience, he previously served as Chief Economist and Division Director for the Division of Economic and Risk Analysis at the U.S. Securities and Exchange Commission, Chief Economist at the U.S. Commodity Futures Trading Commission, and Visiting Academic at Nasdaq Stock Market.
His educational background includes:
- BA in Physics, University of Iowa
- MBA in Finance, University of Iowa
- PhD in Finance, The Ohio State University
Dr. Harris specializes in financial market structure and regulatory frameworks, with research published in premier journals including the Journal of Finance, Journal of Financial Economics, and Journal of Financial and Quantitative Analysis. His expertise bridges academic theory and real-world market regulation, particularly in derivatives markets and systemic risk assessment.
He teaches advanced finance courses including Derivative Securities, Investment Analysis/Portfolio Management, and Derivatives & Risk Management, reflecting his focus on practical financial engineering applications. His prior academic appointments span Syracuse University (Dean’s Chair in Finance), Southern Methodist University (Collins Chair of Finance, visiting), University of Delaware, University of Notre Dame, and The Ohio State University.




