Dr. Gunduz Caginalp is a Professor of Mathematics at the University of Pittsburgh. He received his PhD in Applied Mathematics from Cornell University in 1978 after obtaining bachelor and masters degrees there. He has also held academic positions at The Rockefeller University and CarnegieMellon University. He is the Editor of the Journal of Behavioral Finance, a member of the Editorial Board of Applied Mathematical Finance, and author of over 80 journal articles.
In addition to mathematical modeling of market phenomena, Professor Caginalp is also involved in experimental economics. He can be contacted at: caginalp@pitt.edu