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Francois van Dyk

  • Senior Lecturer (Banking & Risk Management)
  • Universiteit van Suid-Afrika
  • 2PublicationsNumber of items in Francois's My Publications folder on Mendeley.

Research interests

Quantitative Finance Quantitative Risk Management & Investments Asset pricing & Market efficiency Economics (Monetary & Macro) Operational Research

Publications (2)

  • IMPROVED INVESTMENT PERFORMANCE USING THE PORTFOLIO DIVERSIFICATION INDEX

    • van Dyk F
    • van Vuuren G
    • Styger P
    N/AReaders
    N/ACitations
  • Portfolio diversification index as a measure to improve investment portfolio performance

    • van Dyk F
    N/AReaders
    N/ACitations

Professional experience

Senior Lecturer (Banking & Risk Management)

University of South Africa

September 2012 - Present

Senior Risk Consultant

Niche International Risk Consultancy

January 2010 - August 2011(2 years)

Risk Analyst

FirstRand Bank Ltd

January 2009 - November 2009(10 months)

Education

Masters (Risk Management)

North-West University, Potchefstroom

February 2007 - November 2008(2 years)

Hons.Bcom (Risk Management) - Postgraduate degree

North-West University

January 2006 - November 2006(10 months)

Bcom (Accounting) - Undergraduate degree

North-West University

February 2002 - October 2005(4 years)