Aparna Gupta

Professor, Lally School of Management; Director, Center for Financial Studies · Rensselaer Polytechnic Institute

Leading quantitative finance and risk management expert advancing cutting-edge solutions to address risk challenges of the 21st century.

Quantitative Finance Risk Management Financial Engineering Analytical Methods Machine Learning

Jeremy McCallum

Professor of Chemistry & Biochemistry · Loyola Marymount University

Seaver College of Science and Engineering

Chemistry Oxidation Organic Chemistry Science NMR

Gregory W. Brown

Professor of Finance, UNC Kenan-Flagler Business School · UNC at Chapel Hill

Greg Brown researches financial risk, using financial derivative contracts as risk management tools and private investment strategies.

Finance Private Capital Private Equity Hedge Funds Portfolio Management

Zhenyu Wang

Professor of Business Finance · Indiana University, Kelley School of Business

Professor Wang has published research on equity, fixed income, derivative securities, asset management, and financial econometrics.

Financial Markets Financial Intermediation Derivatives Securities & Corporate Finance Risk Management

Steven Tadelis

Professor of Economics | Sarin Chair in Leadership and Strategy · Haas School of Business, University of California, Berkeley

Leading expert on e-commerce and internet economics

E-Commerce Competition and Industrial Organization Procurement Contracting Incentives and Economics of Organizations Theory of the Firm

Gregory F. Udell

Professor of Finance · Indiana University, Kelley School of Business

Professor Udell has more than sixty publications on topics such as contracting, credit, monetary policy and financial intermediation.

Finance Banking Economics Entrepreneurial Finance Credit Research

Kirsten Travers-Uyham

Adjunct Assistant Professor of Finance · Emory University, Goizueta Business School

Commodities Markets Risk Management Investment Management Alternative Investments Derivatives

Serge Thomas, Ph.D.

Expert in the ecology of aquatic environments · Florida Gulf Coast University

Serge Thomas specializes in the consequences of natural and human stresses in aquatic ecosystems.

Ecological Engineering Hydrosystems Technologies to Clean Water Microplastics Algal Blooms

Rebecca Miranda Romero, PhD

Lecturer, Pharmacology and Pharmaceutical Sciences · USC School of Pharmacy

Rebecca Romero's research focuses on the analysis of the structure of DNA and trinucleotide repeat DNA associated with Fragile X syndrome.

In Silico Pharmacokinetics Biochemistry Computational Chemistry Pharmaceutical Formulations

Richard Shockley

Associate Professor of Finance · Indiana University, Kelley School of Business

Professor Richard Shockley’s research deals with real options, corporate finance, and investment.

Real Options Derivatives Corporate Finance Valuation Financial Institutions

Chanaka Edirisinghe

Acting Dean, Lally School of Management; Kay and Jackson Tai '72 Chaired Professor, Quantitative Finance · Rensselaer Polytechnic Institute

Specializes in financial portfolio optimization theory, models, and applications

Large-Scale Optimization Risk Analytics Financial Engineering Financial Derivatives Portfolio optimization

Daryl L. Davies, PhD

Associate Dean for Undergraduate Education & Professor of Clinical Pharmacy · USC School of Pharmacy

Daryl Davies is working to discover and develop novel therapeutics for the treatment of neurodegenerative diseases and alcoholism.

Purinergic receptors Opioid abuse Neuro-psychiatric Disorders Drug Safety Pharmacology and Toxicology Drugs of Abuse Pharmacology and Toxicology

Klaus E. Volpert, PhD

Associate Professor of Mathematics | College of Arts and Sciences · Villanova University

Klaus E. Volpert, PhD is an expert in mathematics of finance and economics, pricing of financial derivatives, and pedagogy of mathematics.

Mathematics of Income Inequality Mathematics of Finance and Economics Pricing of Financial Derivatives Pedagogy of Mathematics Differential Geometry

Maureen Lichtveld, MD, MPH

Professor and Chair, Freeport McMoRan Chair of Environment Policy · Tulane University

Prof. Maureen Lichtveld is an expert in the field of environmental public health, with over 35 years of experience.

Coronavirus Disease Control and Prevention Disaster and Public Health Preparedness Disasters Environmental Health

Kevin Belfield

Dean, College of Science and Liberal Arts, Professor of Chemistry and Environmental Science · New Jersey Institute of Technology

Principal Investigator of the Belfield Research Group, focusing on biophotonics, photophysics, and biological/environmental sensors

Materials Science Molecular engineering Biophotonics Forensic Science Photonics

Bartosz Krawczyk, Ph.D.

Assistant Professor · VCU College of Engineering

Dr. Krawczyk's areas of research are machine learning, data stream mining, and big data.

Machine learning: ensembles, imbalanced data, one-class classification, kernel methods. Data stream mining: concept drift, active learning, online classification and regression. Big data: mining massive datasets, efficient and scalable learning algorithms

Aldo Martinez

Founder · AJM Advisory Services (NYSE - VP retired)

Been described as a captivating and motivating speaker explaining and influencing in the field of Market Surveillance detecting proving trad

Market Regulation and Investor Confidence Leadership Management and How to Motivate A Workforce Adjunct Professor of Market Derivatives; Investment Analysis and Corporate Finance Life Coaching - the Role of Education and Perseverence in Making Life's Decisions

Stephen Peca

Managing Director · Concourse Realty Group

Commercial Real Estate Development and Investment (and everything in between)

Real Estate Private Equity Project Finance

Arié Moyal

Holistic Management Strategist · Moyal & Associates

Management Strategist

Social Media Social Business Employee Engagement Brand Identity Corporate Social Responsibility

David Gibbins

Corporate Advisory Board · InventionShare

David Gibbins specializes in capital markets, derivatives and financial risk

Business Strategy Portfolio Management Investment Banking Risk Management