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Theory and Methodology of Tactical Asset Allocation (Frank J. Fabozzi #65) (Hardcover)

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Theory and Methodology of Tactical Asset Allocation (Frank J. Fabozzi #65) Cover Image
By Wai Lee
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About the Author


Wai Lee is Director with the Global Structured Products Group of Credit Suisse Asset Management. He has published work on asset allocation, asset pricing, currency, interest rates, and quantitative methods in seven referred financial economics journals, and contributed chapters to books on fixed-income securities. Abstracts of his research appear in The CFA Digest. He is an Advisory Board member of the Journal of Portfolio Management. Prior to joining Credit Suisse Asset Management, Dr. Lee was the Head of Quantitative Research for the Global Balanced Group at J.P. Morgan Investment Management. Prior to joining J.P. Morgan, he was a Senior Research Associate in the Division of Research at Harvard Business School. Dr. Lee has taught finance and economics at both the graduate and undergraduate level, and in executive management programs. He holds a B.Sc.(Hon.) degree in mechanical engineering from the University of Hong Kong, and M.B.A. and Ph.D. degrees in finance and quantitative methods from Drexel University, and has done postdoctoral work at Harvard University.
Product Details
ISBN: 9781883249724
ISBN-10: 1883249724
Publisher: Wiley
Publication Date: August 15th, 2000
Pages: 159
Language: English
Series: Frank J. Fabozzi