Biography

Dr. Thomas Anderson is an expert in corporate finance, investment management, and financial markets. His research addresses risk management, portfolio theory, and behavioral finance.

He previously worked as a portfolio manager at major investment firms.

Research Interests

  • Corporate Finance
  • Investment Management
  • Risk Management
  • Behavioral Finance

Education

  • PhD in Finance, University of Chicago, 2011
  • MBA, Wharton School, 2006
  • BS in Economics, Northwestern University, 2004

Selected Publications

Selected publications:

  • "Risk Management in Volatile Markets" (Journal of Finance, 2024)
  • "Behavioral Biases in Investment" (RFS, 2023)