Vedran Vuk

Vedran Vuk holds a MS in Finance from Johns Hopkins University and a BBA in Economics from Loyola University of New Orleans. Prior to Casey Research, he worked at RiskMetrics Group managing corporate governance policies for pension and mutual funds. In Washington D.C. he worked in think tanks and government affairs monitoring international financial regulatory developments during the 2008 credit crisis. His publications on economics and finance have appeared in academic journals, books, major newspapers, and online.

