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Robert A. Weigand, Ph.D.
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Why the U.S. Fed Has to Keep Tightening Even Though The Most Reliable Recession Indicator Is Flashing “Game On”
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Robert A. Weigand, Ph.D.

is the principal partner of Financial Analytics, LLC. Dr. Weigand has been a faculty member at Texas A&M University, the University of Colorado, and the University of South Florida. He is the author of over 45 scholarly articles and book chapters. His research has supported various innovations in the field of asset management, including Russell Investment’s CrossVol(TM) Volatility Indexes. He is also the author of Applied Equity Analysis and Portfolio Management, John Wiley and Sons, 2014. Dr. Weigand earned his Ph.D. in Financial Economics from the University of Arizona in 1993.

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