Turan G. Bali is the Dean's Research Professor of Finance at Georgetown University. He specializes in asset pricing, risk management, fixed income securities, and financial derivatives. A founding member of the Society for Financial Econometrics, he has worked on consulting projects sponsored by major financial institutions and government organizations in the U.S. and other countries.
In addition, he currently serves as an associate editor for the Journal of Banking and Finance, Journal of Futures Markets, Journal of Portfolio Management, and the Journal of Risk. With more than 50 published articles in economics and finance journals, Bali's work has appeared in the Journal of Finance, Journal of Financial Economics, Journal of Monetary Economics, Management Science, Journal of Financial and Quantitative Analysis, Journal of Business, Review of Economics and Statistics, and many others. He also serves as an ad-hoc reviewer for more than 40 journals in economics, finance, statistics, and operations research.
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