Editor

Marielle de Jong, Associate Professor of Finance at the Grenoble Ecole de Management, France

Dan di Bartolomeo, President and founder of Northfield Information Services, Inc., Boston, USA

Editorial Board

Chris Adcock, Professor of Quantitative Finance, Sheffield University Management School, Sheffield University UK
Alan Brown, Senior Adviser, Schroders Investment Management Ltd., UK
Sebastian Ceria, Chief Executive Officer, Axioma, Inc, USA
Stuart Doole, Managing Director, Research, MSCI, London, UK
Frank Fabozzi, Professor of Finance, EDHEC Business School, Nice, France
Edward Fishwick, Managing Director, Global Co-Head of Risk & Quantitative Analysis, BlackRock Asset Management, UK
Lisa Goldberg, Director of Research and Adjunct Professor of Statistics, UC Berkeley, USA
John C Hull, A-J Financial Systems and Maple Financial Chair of Derivatives and Risk Management, University of Toronto, Canada
Maher Kooli, Professor of Finance, CDPQ Chair in Portfolio Management, School of Management, Université du Québec à Montréal, Canada
Mark Kritzman, President and CIO, Windham Capital Management, LLC, USA
Robert Macrae, Research Associate, Systemic Risk Centre, London School of Economics, UK
Jason MacQueen, Director of Research, Northfields Information Service, Inc, Boston, USA
David McMillan, Professor in Finance, University of Stirling, UK
Valérie Mignon, Professor in Economics at Paris Nanterre University, France
Carl Moss, Senior Managing Director, International Division, INTECH, UK
Randy O'Toole, Vice President, Senior Quantitative Analyst, Massachusetts Mutual, USA
David Post, Senior Investment Strategist at Parametric Portfolio Associates, USA
Francois-Eric Racicot, Professor of Finance and Econometrics, Telfer School of Management, University of Ottawa, Canada
K. Geert Rouwenhorst, Professor of Finance, Yale School of Management, USA
Bernd Scherer, Head of Portfolio Management, BHL, Head of Product Development, BHL, Research Associate, EDHEC RISK, Nice, France
David Schroeder, Lecturer in Finance, Birkbeck College, University of London, UK
James Sefton, Professor of Economics, Imperial College London and Senior Quantitative Analyst at UBS Investment Bank, UK
Bruno Solnik, Professor of Finance, The Hong Kong University of Science and Technology, Hong Kong
Eric Sorensen, President and Chief Executive, PanAgora, USA
Nandini Srivastava, Fellow, Christ’s College Cambridge, UK
Christopher Tinker, CEO, Libra Investment Services (2010) Ltd, UK
Jarrod Wilcox, President of Wealthmate, Inc., USA
Warapong Wongwachara, Deputy Director, Monetary Policy Department, Bank of Thailand, Thailand


Editor Emeritus

Stephen Satchell, Fellow, Trinity College Cambridge, and Professor, Sydney University