Mark P. Kritzman
About the Author
Mark P. Kritzman is a distinguished financial expert and author renowned for bridging the gap between theoretical finance and practical application. With decades of experience in investment management, he has advised leading institutions on portfolio strategies and risk assessment, drawing from his deep understanding of market dynamics and economic principles. Kritzman's work demystifies complex concepts for professionals and academics alike, emphasizing empirical evidence and innovative approaches to asset management. His seminal book, Asset Allocation: From Theory to Practice and Beyond (Wiley Finance), exemplifies his ability to translate rigorous theory into actionable insights, influencing generations of investors and scholars in the field of quantitative finance.
Books by Mark P. Kritzman
