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Duquesne University
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Ph.D., McMaster University |
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B.S., M.S., M.Phil., Aligarh University
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Dr. Gaur is a Full
Professor of Mathematics at Duquesne University. A prolific
researcher in several branches of pure, real, functional analysis, and
topology. He has also begun to work on applications of his theory
to the financial markets. His methodology is based on
quantitative screens for performance, expense level, and portfolio
turnover. His theory is useful to select a list of diversified
stock funds. His future goal is to study sector analysis in the
market.
Please click on the tabs above to navigate this site. If you have any questions, please email the webmaster, gaur@mathcs.duq.edu, and ask away.
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