Baeho Kim is a Professor of Finance at Korea University Business School (KUBS). He received his Ph.D. in the department of Management Science and Engineering (MS&E) and his master's degree in the Financial Mathematics Program at Stanford University. He was a Visiting Associate...Read more about Baeho Kim
Konstantin Magin obtained his B.A. in Economics from the Leningrad Institute of Economics and Finance and his Ph.D. in Economics from the University of California, Berkeley, specializing in General Equilibrium Theory, Financial Economics and Macroeconomics. He is a researcher at the Center...Read more about Konstantin Magin
Kyong Shik Eom received his Ph.D. in Finance from Lehigh University in 1998, M.S. in Finance and B.S. in Business Administration from Korea University in 1989 and 1985, respectively. Before joining the Center for Risk Management Research (CRMR), Kyong Shik was a full Professor of Finance...Read more about Kyong Shik Eom
CDAR co-Director Lisa Goldberg is Professor of the Practice of Economics at University of California, Berkeley and Head of Research at Aperio Group, now part of BlackRock. Dr. Goldberg is a mathematician whose research integrates best practices from industry and academia. Her work has touched...Read more about Lisa Goldberg
Nicholas L. Gunther received his Ph.D. in Mathematics from Harvard in 1982 and his J.D. from Harvard Law School in 1986. Nick worked as an associate specializing in tax matters at Cleary, Gottlieb, Steen & Hamilton until 1992. From 1992 until the present, Nick has worked on the...Read more about Nick Gunther
Ola Mahmoud is Assistant Professor of Corporate Finance at the University of Basel in Switzerland. She obtained her Ph.D. in Mathematics from the University of Cambridge in 2011, a Master of Advanced Study in Mathematics (also known as Part III of the Mathematical Tripos) from the...Read more about Ola Mahmoud
Robert M. Anderson is Director of the Center for Risk Management Research at UC Berkeley. He is also Professor of the Graduate School, Coleman Fung Professor Emeritus of Risk Management, and Professor Emeritus of...Read more about Robert Anderson
Roger M. Stein has been actively engaged in developing, implementing and writing about new approaches to applied risk modeling and financial prediction for almost 25 years. He and his teams have developed, implemented, and delivered products and services that have become industry benchmarks in...Read more about Roger M. Stein
Samim Ghamami is currently an economist at the U.S. Securities and Exchange Commission, the Division of Economic and Risk Analysis (DERA), a senior researcher and an adjunct professor of finance at New York University, a senior researcher at UC Berkeley Center for Risk...Read more about Samim Ghamami
Sang earned a B.S. in Managerial Economics from UC Davis in 2001. She started her career in the Information Services and Technology department at UC Berkeley. She then moved into Central payroll and later to Civil and Environmental Engineering. She was an operations manager for three...Read more about Sang Oum
Stephen received his Ph.D. in the Economics department at UC Berkeley in 2014, specializing in financial economics and econometrics. He holds an M.S. in Management Science & Engineering from Stanford University as well as the Chartered Financial Analyst designation. Prior to entering...Read more about Stephen Bianchi