Financial Analysts Journal Editorial Team
Executive Editor
The executive editor decides whether and when every submission is suitable for publication in the Financial Analysts Journal, in consultation with the managing editor and CFA Institute. The executive editor may also advise on the overall strategy and management of the Financial Analysts Journal in keeping with its mission and identity and standards.
Executive Editor
Yale School of Management
William N. Goetzmann is the Edwin J. Beinecke Professor of Finance and Management Studies and director of the International Center for Finance at the Yale School of Management. He teaches portfolio management, alternative investments, real estate, and financial history and is an expert on a diverse range of investments. Professor Goetzmann’s past work includes studies of stock market predictability, hedge funds, and survival biases in performance measurement. His current research focuses on alternative investing, factor investing, behavioral finance, and the art market. Professor Goetzmann has written and co-authored a number of books, including Modern Portfolio Theory and Investment Analysis; The Origins of Value: The Financial Innovations That Created Modern Capital Markets; The Great Mirror of Folly: Finance, Culture, and the Crash of 1720; and most recently, Money Changes Everything: How Finance Made Civilization Possible.
Managing Editor
Managing Editor
Florida Atlantic University and EIA Economic Index Associates
Dr. Luis García-Feijóo, CFA, CIPM, is Professor of Finance at Florida Atlantic University (FAU), where he teaches investments and international finance. He is also a co-founder of Economic Index Associates (EIA), LLC. Professor García has served as associate editor of the Financial Analysts Journal since 2012, and he is also a research director for CFA Institute Research Foundation. Prior to joining FAU, he worked as director, exam development at CFA Institute and was an associate professor at Creighton University. Professor García’s research interests include factor investing, monetary policy and asset returns, and behavioral finance, among others. His research has been published in leading academic and practitioner journals. He is co-author of the book Invest with the Fed: How to Maximize Portfolio Performance Following Federal Reserve Policy. Professor García holds a PhD in finance from the University of Missouri-Columbia. He actively served on the Board of Directors of the CFA Society of South Florida from 2009 to 2014 and has been an active volunteer for CFA Institute since 2009.
Associate Editors
The associate editors advise the executive editor whether and when every submission assigned to them is suitable for publication in the Financial Analysts Journal.
Associate Editor
Quantitative Research Director at Qube Research & Technologies
Daniel Giamouridis, PhD, is Quantitative Research Director at Qube Research & Technologies. Previously, he was a Managing Director at BofA Securities, where he held various leadership roles in quantitative trading, client solutions, and execution services. Before joining BofA, Dr. Giamouridis was an Associate Professor of Finance at AUEB and an Academic Consultant for the Global Equity Quantitative Research Group at Citi.
Dr. Giamouridis’ career has focused on quantitative investment decision making and analysis, in particular the design and implementation of systematic investment strategies. He holds a PhD in finance from Bayes Business School – City, University of London, and an MEng in naval architecture and marine engineering from NTUA. Dr. Giamouridis is an Honorary Senior Visiting Fellow at Bayes Business School.
Associate Editor
D'Amore-McKim School of Business, Northeastern University
Professor Nicole Boyson has been at the D’Amore-McKim School of Business at Northeastern University since 2004 and currently serves as the department chair. She holds a Ph.D. in Finance from The Ohio State University, an MBA from Case Western Reserve University, and a BBA from Kent State University. Her research and teaching interests are in the area of institutional investors, conflicts of interest among investment advisors, banking, and hedge fund activism. She has published her research in the top finance journals and is an active presenter and discussant at conferences, both academic and practitioner.
Prior to joining the DMSB faculty in 2004, Professor Boyson was an Assistant Professor at Purdue University. Prior to joining Purdue, she was a manager for Ernst & Young, the VP of Investments for Pension Consulting Services, an analyst for Third Federal Savings and Loan, and a senior accountant at KPMG Peat Marwick.
A Certified Public Accountant, Professor Boyson currently serves on the Board of the Eastern Finance Association. She has been a member of numerous program committees of professional organizations and frequently acts as an ad-hoc referee for several academic journals. Professor Boyson was named a Top 50 Undergraduate Business School Professor in 2020 by Poets and Quants and was the D’Amore-McKim Best Teacher in 2016.
Advisory Council
Andrew Ang
BlackRock, United States
Brad Barber
UC Davis, United States
Stephen J. Brown
Monash Business School and New York University Stern School, United States
Campbell Harvey
Duke University, United States
Joanne M. Hill
CBOE Vest, United States
Jason Hsu
Rayliant Global Advisors, Hong Kong SAR, China
UCLA, United States
Maureen O’Hara
Cornell University, United States
Katrina F. Sherrerd, CFA
Research Affiliates, United States
Steven Thorley, CFA
BYU Marriott School of Business, United States
Maria Vassalou
Vassalou Capital Management, United States
K.C. John Wei
Hong Kong Polytechnic University, Hong Kong SAR, China
Editorial Board
Sandro C. Andrade
Miami Herbert Business School, United States
Tom Arnold, CFA, CIPM
University of Richmond, United States
Nick Baltas
Goldman Sachs & Imperial College Business School, United Kingdom
Hendrik Bessembinder
Arizona State University, United States
David Blanchett, CFA
PGIM, United States
Marie Brière
AMUNDI, France
Université Paris Dauphine PSL, France
Université Libre de Bruxelles, Belgium
Jie (Jay) Cao
The Hong Kong Polytechnic University School of Accounting and Finance, Hong Kong SAR, China
Felix Goltz
Scientific Beta, France
Vitali Kalesnik
MGI Machine Guided Investments, LLP, London, United Kingdom
Kenneth A. Kim
Tongji University, China
Feifei Li
Kavout Algo Financial, United States
Daniel Mantilla Garcia
Universidad de los Andes, School of Management (Colombia) and NETSPAR
Sébastien Page, CFA
T. Rowe Price, United States
Petya Platikanova
ESADE Business School, Spain
Tatjana Puhan
University of Mannheim, Germany
Bernd Scherer
Abu Dhabi Investment Authority,
United Arab Emirates
Margaret Stumpp
Giggle Hill, United States
Laurens Swinkels
Erasmus University Rotterdam, Netherlands
Robeco Institutional Asset Management, Netherlands
Hui (Stacie) Wang, CFA
Fidelity Investments, United States
Xintong Zhan, CFA
Fudan University School of Management (Shanghai), China