Kevin Dowd Send Email
Kevin Dowd is a Research Fellow at the Independent Institute, Professor of Finance and Economics at Durham University, Partner with Cobden Partners in London, and Professor Emeritus of Financial Risk Management at the University of Nottingham in England. Professor Dowd received his Ph.D. in economics from the University of Sheffield. His books include Measuring Market Risk, Competition and Finance, Current Issues in Monetary Theory and Policy, An Introduction to Market Risk Measurement, Money and The Market: Essays on Free Banking, Beyond Value at Risk: The New Science of Risk Management, The Experience of Free Banking, Laissez-Faire Banking, Private Money, and The State and the Monetary System.
Professor Dowd's scholarly articles have appeared in such journals as Applied Economics, Canadian Journal of Economics, Economic Journal, Economic Modeling, Greek Economic Review, Journal of Economic Surveys, Journal of Macroeconomics, Journal of Money, Credit and Banking, Oxford Economic Papers, Scottish Journal of Political Economy, Southern Economic Journal and The World Economy.