Javier Estrada
About the Author
Javier Estrada is a distinguished finance professor and author renowned for demystifying the complexities of financial markets and investment strategies for both novices and seasoned professionals. With a career spanning academia and practical finance, he has taught at top business schools, contributing insightful research on portfolio management and risk assessment that bridges theory and real-world application. Estrada's writing stands out for its clarity and accessibility, making intricate concepts approachable without sacrificing depth. His seminal work, The Financial Times Guide to Understanding Finance: A no-nonsense companion to financial tools and techniques (2nd Edition), has become an essential resource for readers seeking to navigate the ever-evolving landscape of personal and corporate finance with confidence and precision.
