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Doctoral candidates in the Accounting & Finance Department explore both theoretically significant and practically relevant challenges in Finance and Banking. Our finance researchers focus on diverse areas including derivatives valuation and risk analysis, econometric methods in finance, global banking systems, financial policy frameworks, corporate financial strategies, securities valuation techniques, and property market modeling.
PhD candidates have the opportunity to participate in the Centre for Quantitative Finance, which investigates modern financial market challenges through quantitative methods. The center's primary mission is to bridge academic theory with industry practice, whether by evaluating different pricing and risk assessment approaches, developing enhanced financial instruments for broader societal benefit, or serving as a resource for policymakers and financial institutions seeking specialized quantitative research on complex topics.