Keith W Luh
Adjunct Professor of Business
Finance
Joined CBS in 2013
Office:
1185B
Kravis
E-mail:
[email protected]
Biography
Keith Luh is a portfolio manager and head of cross asset investing for the Mutual Series group at Franklin Templeton focused on value and event-driven opportunities across equity and fixed income investments, globally. Prior to joining Mutual Series, Mr. Luh was an analyst in global investment research at Putnam Investments, where he also helped manage a best-ideas research fund. Previously, he worked in the investment banking group at Volpe Brown Whelan and Co., LLC, and the derivative products trading group at BNP. Mr. Luh is also Adjunct Professor in Finance and Economics at the Graduate School of Business, Columbia University and the Gabelli School of Business, Fordham University. Mr. Luh earned a B.A. in economics and history (minor) from the University of Pennsylvania, an M.B.A. in finance and entrepreneurship from Columbia Business School. He is a Chartered Financial Analyst (CFA) charterholder.
Teaching
Spring 2022
Value Investing Across the Capital Structure
(EMBA)
Spring 2021
Value Investing Across the Capital Structure
(EMBA)
Summer 2021
Summer 2020
Fall 2020
Value & Special Situation Investment
(MBA)
Spring 2019
Summer 2019
Fall 2019
Value & Special Situation Investment
(MBA)