Joon Bae, PhD, focuses his research on the study of international financial markets. His current research examines various aspects of economic interconnectedness across firms and countries, and studies its implications for asset pricing and portfolio management in a global context.
He has presented at many conferences including the Northern Finance Association (NFA) and the Financial Management Association (FMA), and China International Conference in Finance (CICF).
Prior to his doctoral studies, Bae worked in the pension industry at University of Toronto Asset Management Corporation (UTAM). His working experience as a part of investment risk and research team have inspired and encouraged him to pursue his interest in international finance.
Bae earned his PhD from the Rotman School of Management at the University of Toronto. He earned his Master of Financial Economics (MFE) and Bachelor of Commerce (B.Com) at the University of Toronto as well. Personal Website
PhD, University of Toronto, 2017
Initially Appointed: 2017
Recent Courses and SyllabiCourse evaluation ratings (login required)
- Bae, J., Elkamhi, R.
Global Equity Correlation in International Markets
- Bae, J., Simutin, M., Elkamhi, R.
The best of both worlds: Accessing emerging economies via developed markets
Journal of Finance.