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The Journal of Portfolio Management
  • Institutional Investor Journals: Home
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The Journal of Portfolio Management

The Journal of Portfolio Management

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Editor-in-Chief

FRANK J. FABOZZI

Mr. Fabozzi is Professor of Finance at EDHEC Business School and a member of the EDHEC Risk Institute. He has also served as a trustee for the BlackRock family of closed-end funds. Prior to joining EDHEC, he held various professorial positions in finance at Yale and MIT. In 2013–2014, he was the James Wei Visiting Professor of Entrepreneurship at Princeton University. Professor Fabozzi is the Editor of The Journal of Portfolio Management.

Professor Fabozzi has authored and edited many books in asset management. He received the CFA Institute Research Foundation’s James R. Vertin Award in February 2015. The award recognizes individuals whose research is “notable for its relevance and enduring value to investment professionals.” He is also the CFA Institute’s 2007 recipient of the C. Stewart Sheppard Award given “in recognition of outstanding contribution to continuing education in the CFA profession.” 

Professor Fabozzi earned an MA and a BA in economics in 1970 from the City College of New York and was elected to Phi Beta Kappa in 1969. He earned a PhD in economics in 1972 from the City University of New York. He holds two professional designations: Chartered Financial Analyst (1977) and Certified Public Accountant (1982). 

For more information go to Personal Website

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