About the Authors

Oleg Bychuk has 11 years of capital markets experience. This includes roles as Head of Risk Management at Julius Baer Investment Management and Head of Risk Management and Quantitative Research at Alternative Asset Managers. He has also held various positions at Citigroup Global Markets, OppenheimerFunds, and Deutsche Bank. Dr. Bychuk holds degrees from Columbia University (PhD) and Lomonosov Moscow State University and has published numerous articles.

Brian Haughey is Director of the Investment Center at Marist College, in Poughkeepsie, NY, where he teaches Finance and oversees the Student Managed Investment Fund. Previously, he worked in Citigroup for more than 10 years, most recently in the Global Special Situations Group, where he headed Citigroup's Mutual Fund Fee business. Prior to that he was employed at Fitch Ratings and at various institutions in Europe. Mr. Haughey holds an MBS degree from University College Dublin and the Chartered Financial Analyst and Financial Risk Manager designations.

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