About the Author

Donald J. Smith is an associate professor of finance at the School of Management, Boston University. He received his MBA and PhD in economic analysis and policy at the School of Business Administration, University of California at Berkeley. Don specializes in teaching fixed-income markets and risk management courses. He has published widely in academic and trade journals, including the Financial Analysts Journal; Journal of Finance; Journal of Money, Credit, and Banking; Journal of Fixed Income; Journal of Financial Engineering; Financial Management; Journal of Portfolio Management; Journal of Financial Education; Journal of Applied Corporate Finance; Journal of Applied Finance; Applied Economic Letters; GARP Risk Review; ...

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