Radu Tunaru

Radu TunaruRadu Tunaru is Professor of Finance at University of Kent Business School. He has over sixty publications to date, and he is the author of Model Risk in Financial Markets (2015). He has received six best paper awards, and his latest work includes thre papers on real-estate derivatives with Nobel laureate in Economics, Robert Shiller. He has previously worked for the Bank of Montreal, and for Merrill Lynch, where he was a vice-president in Structured Finance. He serves as an associate editor for the Journal of Portfolio Management and the Journal of Banking and Finance. Read More Read Less

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Preparing for the Next Financial Crisis33 %
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16 Nov 2017
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Equity Release Finance4 % NR
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06 Mar 2025
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Preparing for the Next Financial Crisis18 % NR
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11 Aug 2022
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Real-Estate Derivatives19 % NR
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Real-Estate Derivatives30 % NR
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13 Jun 2017
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