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Jerry Hanweck
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Jerry Hanweck is a prominent figure in the financial industry with over 30 years of experience. He holds a Doctorate in economics from Purdue University and a BS in Mathematics from the State University of New York. Hanweck has an extensive track record in academics, working as a professor of finance at various universities, including the University of Illinois, the University of Georgia, and George Mason University. In addition to his academic achievements, Hanweck has made significant contributions to the finance industry, specifically in options pricing and risk management. He has published numerous articles in academic and industry journals, and his work is widely cited both in academia and industry. Hanweck is also a sought-after speaker and has presented his research at conferences worldwide. He has served on the board of several financial institutions and consulted for banks, regulators, and central banks. Hanweck is a seasoned expert in financial modeling and has developed pricing models for options and derivatives traded across various asset classes.