Howard Nemiroff has taught an assortment of Undergraduate and MBA courses in investments, portfolio management and derivatives at three universities prior to Carleton (Saint Mary’s University, Brock University, Long Island University). He holds a BA (Economics) from Western Ontario, an MA (Economics) from Concordia and a Ph.D. (Finance) from Concordia.
Howard’s research is in market anomalies, behavioural finance and market efficiency, and publishes in internationally recognized academic journals such as the Journal of Financial Research, Financial Review, and International Review of Economics and Finance, amongst others.
ORCID ID: https://orcid.org/0000-0002-7798-1789