Description
Author: Weidong Tian
Publisher: Palgrave MacMillan
Published: 01/31/2019
Pages: 429
Binding Type: Paperback
Weight: 1.20lbs
Size: 8.27h x 5.83w x 0.93d
ISBN13: 9781349934027
ISBN10: 134993402X
BISAC Categories:
- Business & Economics | Insurance | Risk Assessment & Management
- Business & Economics | Banks & Banking
- Business & Economics | Economics | Macroeconomics
About the Author
Weidong Tian is Professor of Finance and Distinguished Professor of Risk Management and Insurance at the University of North Carolina at Charlotte, USA. Prior to coming to UNC Charlotte, Tian served as a faculty member at the University of Waterloo, Canada, and a visiting scholar at the Sloan School of Management at the Massachusetts Institute of Technology, USA. He also held various positions in financial institutions.
ContributorsMaia Berkane, Wells Fargo & Co.
John Carpenter, Bank of America
Roy E. DeMeo, Wells Fargo & Co.
Douglas Gardner, Bank of the West
Jeffrey Gerlach, Federal Reserve of Richmond
Larry Li, JPMorgan Chase
Kevin Oden, Wells Fargo & Co.
James B. Oldroyd, Brigham Young University
Valeriu (Adi) Omer, Bank of the West
Todd Pleune, Protiviti
Jeff Recor, Grant Thornton
Brain A. Todd, Bank of the West
Hong Xu, AIG
Dong (Tony) Yang
Yimin Yang, Protiviti
Han Zhang, Wells Fargo & Co., USA
Steven Zhu, Bank of America
Deming Zhuang, Citigroup