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Professor of Finance; Faculty Governor
London Business School |
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Global Evidence on the Equity Risk Premium, Journal of Applied Corporate Finance (2003); Capturing the Value Premium in the UK, Financial Analaysts Journal (2003); The Hoare Govett Smaller Companies Index (2003); Risk Measurement Service (2003); Triumph of the Optimists: 101 Years of Global Investment Returns (2002) and Global Investment Returns Yearbook (2002),both with Paul Marsh and Mike Staunton; The Closed-End Fund Discount (2002) with Carolina Minio-Paluello; UK Financial Market Returns 1955-2000 (Journal of Business, 2001) with Paul Marsh
Investment management, strategies for foundations and endowments.
Executive Committee of European Finance Association, Steering Committee of Financial Economics Roundtable, Editorial Board member for Journal of Banking and Finance, Journal of Investment Management, Journal of Investing, European Financial Management and several other journals
Formerly President of European Finance Association; Visiting Professor at Chicago, California (Berkeley), Hawaii, European Institute (Brussels) and Bank of England; previously with Unilever and Tube Investments |
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