Professor Andrew Clare
Professor of Asset Management; Module Leader - Finance
Andrew Clare is the Professor of Asset Management at The Business School (formerly Cass). He is also the Module Leader for the ‘Finance’ course of our online Global MBA programme.
Andrew is co-author of The Trustee Guide to Investment, and has been published extensively in both academic and practitioner journals on a wide range of economic and financial market issues. In 2007, he was ranked as the world’s 9th most prolific finance author of the past 50 years.
Areas of expertise
- Hedge Funds
- Fund Management
- Investment Management
- Asset Pricing
- Pension Funds
- Financial Markets
- Investment Theory
- Bond Markets
- Capital Markets
- Asset Valuation
Clare, A., Glover, S., Seaton, J., Smith, P.N. and Thomas, S. (2020). Measuring sequence of returns risk. Journal of Retirement, 8(1), pp. 65–79. doi:10.3905/JOR.2020.1.066.
Clare, A.D., Seaton, J., Smith, P.N. and Thomas, S.H. (2019). Can Sustainable Withdrawal Rates Be Enhanced by Trend Following? International Journal of Finance and Economics. doi:10.1002/ijfe.1774.
Clare, A. and Clare, M. (2019). An examination of ex ante fund performance: identifying indicators of future performance. Journal of Asset Management, 20(3), pp. 175–195. doi:10.1057/s41260-019-00118-4.
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