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Protecting a portfolio of risky assets
Designing strategies to protect a portfolio of risky assets from the potential of a major market sell-off.
Mitigating sequence of returns risk (SORR)
Improving baseline investment strategy to mitigate SORR.
Evaluating Financial and Impact Return for Portfolio Companies
Developing a total return metric for funds.
Emerging/Frontier Markets Currency Crisis Research
Researching and building a model which helps identify country connections and contagion risks.