Thomas S. Coleman
About the Author
Thomas S. Coleman is a distinguished financial expert with over two decades of experience in risk management and quantitative analysis, having held senior positions at leading investment banks and consulting firms. He holds a PhD in finance from a top-tier university and has contributed to numerous academic papers and industry reports on financial modeling and risk assessment. Coleman's work bridges theoretical rigor with practical application, making complex concepts accessible to professionals navigating volatile markets. As the author of 'Quantitative Risk Management, + Website: A Practical Guide to Financial Risk (Wiley Finance),' he provides invaluable tools for institutions and individuals seeking to mitigate financial uncertainties in an increasingly interconnected global economy. His insights continue to shape best practices in the field.
Books by Thomas S. Coleman
