作者简介 钱恩平( Edward E. Qian),博士,注册金融分析师 :波士顿磐安资产管理公司 (PanAgora Asset Management)董事,及宏观战略小组研究主管。之前,钱博士在普特南投资公司( Putnam Investments)担任了 6年的不错量化分析师,还在后湾咨询公司( Back Bay Advisors)担任固定收益量化分析师,并在美国资本集团公司(2100 Capital Group)担任对冲基金策略的量化分析师。钱博士还是荷兰莱顿大学和麻省理工学院应用数学专业的博士后研究员。 1994年到 1996年,他担任麻省理工学院国家科学基金会的博士后研究员。 1993年他获得佛罗里达州立大学应用数学专业博士学位,1986年获得北京大学数学学士学位。 罗纳德·H.华(Ronald H.Hua),注册金融分析师:美国股权集团公司( Equity Group)董事,以及位于波士顿的磐安资产管理股票研究主管。2004年加入磐安资产管理公司之前,他在普特南投资公司担任了 5年的不错副总裁,负责量化证券投资研究和证券投资组合管理。 1994年至 1999年,他在富达管理研究公司( Fidelity Management and Research Company)担任量化分析师。 1994年他获得纽约大学斯特恩商学院工商管理硕士学位,1991年获得纽约大学库兰特数学科学研究院硕士学位。 埃里克 ·H.索伦森( Eric H. Sorensen),博士,波士顿磐安资产管理公司的总裁兼首席执行官。磐安资产管理公司专门研究量化货币管理解决方案 ,实施现代投资组合策略,总资产约为 240亿美元。索伦森博士和他的团队在量化投资领域是行业,专注于各种创新的、自下而上的分析和多阿尔法宏观策略。 2000年至 2004年,他在普特南投资公司担任优选量化研究主管和首席投资官。此前,他是所罗门兄弟公司(现花旗集团)的优选量化研究主管。在 14年的华尔街生涯里,他发表了大量的文章,为世界各地的机构投资客户提供顾问咨询,并在优选范围内建立起现代投资策略的声誉。任职华尔街之前,他是亚利桑那大学的金融学教授和系主任,发表了 50多篇学术期刊文章,并在几家金融学术期刊中任编委。1976年他获得俄勒冈大学金融学博士学位, 1974年获得俄克拉荷马城市大学工商管理硕士学位。 1969年至 1974年,他还曾服役美国空军,作为飞行员和军官参加过巡回比赛。 About the Authors Edward E. Qian, Ph.D., C.F.A., is a director and head of research of the Macro Strategies Group at PanAgora Asset Management in Boston. Pre-viously, Dr. Qian spent 6 years at Putnam Investments as a senior quan-titative analyst. He also worked at Back Bay Advisors as a fixed income quantitative analyst and at 2100 Capital Group as a quantitative analyst of hedge fund strategies. Dr. Qian has published numerous research articles in the areas of asset allocation and quantitative equity. Prior to 1996, Dr. Qian was a postdoctoral researcher in applied mathematics at the Uni-versity of Leiden in the Netherlands and at the Massachusetts Institute of Technology. He received his Ph.D. in applied mathematics from Flor-ida State University in 1993 and a bachelor’s degree in mathematics from Peking University in 1986. He was a National Science Foundation post-doctoral research fellow at MIT from 1994 to 1996. Ronald Hua, C.F.A., is a director of Equity Group and head of equity research at PanAgora Asset Management in Boston. Prior to joining Pan-Agora in 2004, he was a senior vice president at Putnam Investments for 5 years and was responsible for quantitative equity research and equity portfolio management. Between 1994 and 1999, he worked at Fidelity Management and Research Company as a quantitative research analyst. He received his M.B.A. degree from Stern School of Business at New York University in 1994 and M.S. degree from Courant Institute of Mathemati-cal Sciences at New York University in 1991. Eric H. Sorensen, Ph.D., is the president and CEO of PanAgora Asset Management in Boston. PanAgora speizes in quantitative money management solutions implementing modern portfolio strategies total-ing approximately $24 billion in institutional assets. He and his team are industry leaders in the field of quantitative investment strategies and focus xvi < About the Authors About the Authors . ix on a variety of innovative bottom-up equity as well as multialpha macro strategies. Between 2000 and 2004, Dr. Sorensen was the global head of Quantitative Research and a chief investment officer at Putnam Invest-ments. Prior to joining Putnam Investments, Dr. Sorensen was global head of quantitativ
以下为对购买帮助不大的评价