We welcome research in any area of the following topics:
- Emerging markets
- International Finance
- International portfolio investments
- Corporate governance and firm performance
- Diversity of corporate boards
- Macro-economy and stock markets
- Derivatives and stock markets
- Modelling returns, volatility, and comovements
- Impact of regulation on stock returns and firm performance
- Behavioural finance
- Market microstructure studies
Supervisors: Professor Sunil Poshakwale and Dr Vineet Agarwal
Application Details: The PhD candidate should hold a minimum 2.1 class undergraduate degree in a related discipline and have passed, or be expected to have passed by autumn, a Master’s degree or equivalent research experience in a work setting. See admission and English language requirements.
Deadline: Expressions of interest alongside a CV are invited via email to sunil.poshakwale@cranfield.ac.uk and vineet.agarwal@cranfield.ac.uk