Cornell Enterprise
Understanding Risk Management
Robert Jarrow’s new textbook, The Economic Foundations of Risk Management, aims to give MBA students a solid understanding of the economic models used to manage business and portfolio risk.
From Wall Street to Arts Commissioner: A Career in Five Acts
Grace Han Wolf ’86, MBA ’91
Key Financial Crisis Player Looks for 2008’s Lessons
Thomas A. Russo, MBA ’69, JD ’69, author of The 2008 Financial Crisis and Its Aftermath: Addressing the Next Debt Challenge
Watch Your Language: The Value of Clarity
In investor communications, good writing can attract investors and enhance share prices.
Ethical Behavior Starts at the Top
Linda Treviño focuses on the role of leadership in fostering best practices in Day Family Ethics Lecture.
Can Africa Feed the World?
Africa could be the world’s next breadbasket. But can it overcome the hurdles in its way?
A Journey to the East and Back
Morgan Alexander Jones, MBA ’15, COO of US-China Strong
Eswar Prasad: Despite yuan’s meteoric rise, dollar will dominate
In his new book, Gaining Currency: The Rise of the Renminbi, Prasad evaluates the real power of China’s currency.