I have 25 years of experience, and specialize in the field of hedging and derivatives with specific knowledge in the areas of enterprise risk management, capital markets and derivatives. I have published on such topics as hedging by corporations, equities markets in Brazil, Russia, India and China countries and comments and panelist on the biggest crisis in our lifetime. I have professionally involved in banking and regulation during critical times of systematic risk. I am an academic who believes that theories should model practical market and behavioral factors.