Stuart M. Turnbull is the Bauer Chair Professor of Finance, the Bauer College of Business at the University of Houston. He was a Senior Vice President, Fixed Income Research, Lehman Brothers, New York. Prior to joining Lehman Brothers, he was Vice President, Risk Management Division, Canadian Imperial Bank of Commerce, Toronto, Ontario.
Stuart has authored over fifty academic papers in the areas of financial economics, law and economics, and the general area of derivatives. He is currently an Associate Editor of the Mathematical Finance, Journal of Credit Risk, International Journal of Theoretical and Applied Finance and the Journal of Derivatives. He has published two books on derivatives. He holds a Ph.D. in Financial Economics from the University of British Columbia, a M.Sc. in Statistics and Operational Research and a B.Sc. in Physics from the Imperial College of Science and Technology (London, U. K.).