Roman Kozhan

Professor of Finance at Warwick Business School

Schools

  • Warwick Business School

Links

Biography

Warwick Business School

Biography

Roman Kozhan is Professor of Finance at Warwick Business School. He joined Warwick Business School in 2006 as a Postdoctoral Research Fellow. His research interests broadly lie in the area of Asset Pricing and Market Microstructure. His work is well published and has been presented in top conferences in the field. He holds a PhD in Finance from European University Viadrina, Germany and PhD in Mathematics from Lviv National University of Ivan Franko, Ukraine. Roman served as a consultant for Old Mutual Asset Managers, Sybenetix, Oncilla FX Trading and had a joint industry project with National Australia Bank.

Research Interests

Asset Pricing, Market Microstructure

Teaching in 2018-2019

Business (Financial Management)
  • IB9U00: Financial Management
Postgraduate Research Finance and Econometrics
  • IB9CJ0: Asset Pricing I
Business (Financial Management)
  • IB9U00: Financial Management
Postgraduate Research Finance and Econometrics
  • IB9CJ0: Asset Pricing I

Read about executive education

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