Prof. Jayanth R. Varma's Financial Markets Blog

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Finance teaching and research after the global financial crisis revisited

Almost a year ago, I wrote a paper on finance teaching and research after the global financial crisis (see this blog post). A revised version of this paper has been published in the latest issue of Vikalpa. The only significant change in the published version is that the portion dealing with learning from related disciplines has been expanded and rewritten. Most of the other changes were only to improve readability and clarity. As always, comments and suggestions are welcome.

Posted at 4:54 pm IST on Wed, 25 Jan 2012         permanent link

Categories: Bayesian probability, post crisis finance

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