Examining uncertainty and risk
Professor Gill Segal helps students understand financial markets and researches uncertainty and risk.
Our finance faculty conduct high-impact and high-quality research in corporate finance, asset pricing, macro-finance, real estate, labor and finance, household finance and neuroeconomics.
Our mission is to create knowledge that advances our understanding of the economic decisions made by investors, consumers, firms and policymakers.
Our faculty members: View our finance faculty members’ bios here.
Our PhD Program: We prepare doctoral students to conduct high-impact research in corporate finance, asset pricing, macro-finance, real estate, labor and finance, household finance and neuroeconomics.
Our seminar schedule:
August 30, 2024 | Josh Lerner | Harvard Business School |
September 6, 2024 | Gilles Chemla | Imperial College London |
September 13, 2024 | Itay Goldstein | Wharton Finance |
September 20, 2024 | Joshua Mollner | Kellogg School of Management |
September 27, 2024 | Andrea Eisfeldt | UCLA School of Management |
October 25, 2024 | Ran Duchin | Boston College |
November 1, 2024 | Liyan Yang | University of Toronto |
November 8, 2024 | Sabrina Howell | NYU Stern |
November 22, 2024 | Greg Buchak | Stanford Graduate School of Business |
December 6, 2024 | Kose John | NYU Stern |
January 10, 2025 | Adair Morse | Berkeley Haas |
January 24, 2025 | Xavier Giroud | Columbia University |
January 29, 2025 | Erik Stafford | Harvard Business School |
February 21, 2025 | Urban Jermann | Wharton Finance |
February 28, 2025 | Agostino Capponi | Columbia University |
March 7, 2025 | Shai Bernstein | Harvard Business School |
March 31, 2025 | Anna Pavlova | London Business School |
April 4, 2025 | Janice Eberly | Kellogg School of Management |
May 2, 2025 | Vikrant Vig | Stanford Institute for Economic Policy Research |
May 9, 2025 | Gregor Matvos | Kellogg School of Management |