About the Author

Greg N. Gregoriou is professor of finance in the School of Business and Economics at State University of New York (Plattsburgh). A native of Montreal, Professor Gregoriou obtained his joint PhD in finance at the University of Quebec at Montreal, which merges the resources of Montreal’s major universities: McGill, Concordia, and HEC. Professor Gregoriou’s interests focus on hedge funds and managed futures. In addition to his university studies, Greg has completed several specialized courses from the Canadian Securities Institute.

Greg has published more than fifty academic articles in more than a dozen peer-reviewed journals, such as the Journal of Portfolio Management, Journal of Futures Markets, European Journal of Operational Research, Annals of Operations Research, Computers and Operations Research, Journal of Asset Management, Journal of Alternative Investments, European Journal of Finance, and Journal of Wealth Management, as well as more than twenty book chapters. Greg is hedge fund editor and editorial board member for Journal of Derivatives and Hedge Funds, a London, UK-based academic journal, and also editorial board member of the Journal of Wealth Management and the Journal of Risk and Financial Institutions. He has published twenty-eight books with Chapman-Hall/CRC, John Wiley & Sons, McGraw-Hill, Bloomberg Press, Elsevier ButterworthHeinemann, Palgrave-MacMillan, and Risk books.