Marti G. Subrahmanyam

Marti G. Subrahmanyam is the Charles E. Merrill Professor of Finance at the Stern School of Business at New York University.

Marti G. Subrahmanyam
Alma materIIT Madras, IIM Ahmedabad, MIT
Scientific career
FieldsFinance
InstitutionsStern School of Business New York University

Biography

Professor Subrahmanyam holds a Ph.D. from the MIT Sloan School of Management, an MBA from the Indian Institute of Management and a BTech in Mechanical Engineering from IIT Madras.

He has been teaching at the Stern School of Business since 1974. He has also been a visiting professor at academic institutions around the world like the Indian Institute of Management, Ahmedabad, University of Melbourne in Australia, LUISS in Italy and Singapore Management University in Singapore.

Works

  • Financial Options: From Theory to Practice, Richard D Irwin, 1990. ISBN 1-55623-234-9, ISBN 978-1-55623-234-3
  • Financial Risk and Derivatives, Springer, 1996. ISBN 0-7923-9801-7, ISBN 978-0-7923-9801-1.
  • Derivative Valuation & Hedging a Trade: A Trader's Perspective, John Wiley & Sons, 2002. ISBN 0-471-16397-X, ISBN 978-0-471-16397-8.

References

    This article is issued from Wikipedia. The text is licensed under Creative Commons - Attribution - Sharealike. Additional terms may apply for the media files.