Woodbine Associates Hires Risk and Portfolio Performance Expert

Waldron will focus on investment performance, attribution, and risk issues that impact asset managers and broker-dealers.

A professor in economics from Duke University, Waldron has over 20 years' experience in risk and investment management across various asset classes. He also earned an MBA in finance from Columbia University, and BS in economics from Villanova University.

Prior to joining Woodbine, Waldron acquired expertise in risk management processes encompassing performance assessment and attribution, regulatory and economic capital management, and asset-liability management, working for financial institutions such as Bank of Tokyo Mitsubishi, Citibank, Calyon, and the Federal Home Loan Bank of San Francisco.

 

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