GREG BROWN – PROFESSOR OF FINANCE AT UNC KENAN FLAGER
Greg Brown is the Sarah Graham Kenan Distinguished Scholar and Professor of Finance at UNC Kenan Flagler, where he teaches corporate finance, financial derivatives and macroeconomics. His research centers on financial risk and the use of financial derivative contracts as risk management tools. He also studies private investment strategies, such as hedge funds and private equity.
Dr. Brown is co-editor of the book, "Corporate Risk: Strategies and Management", with Donald Chew. He has consulted for money management firms, software developers and Fortune 500 companies on various aspects of financial risk management.
Prior to his academic career, Dr. Brown worked for the Board of Governors of the Federal Reserve System in the Division of Research and Statistics. His responsibilities included current analysis and macroeconomic forecasting of the business investment sector.
Prior to his academic career, Dr. Brown worked for the Board of Governors of the Federal Reserve System in the Division of Research and Statistics. His responsibilities included current analysis and macroeconomic forecasting of the business investment sector.