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Jan Wrampelmeyer is an Associate Professor and Research Fellow at Vrije Universiteit Amsterdam, focusing on finance. He has contributed significantly to the fields of money markets, international finance, asset pricing, and financial econometrics. His academic journey began with a Ph.D. in Banking Finance from the University of Zurich in 2011, following a Master's degree in Econometrics and Operations Research from Maastricht University. Prior to his current position, he was an Assistant Professor of Finance at the University of St.Gallen, Switzerland, where he taught courses on systemic risk, financial institutions management, and financial econometrics. Before entering academia, he worked as a Risk Modeling & Analytics Specialist at UBS AG within the firm-wide risk control methodology sector. His research has led to publications in prestigious journals, including the Journal of Finance and Financial Studies, and he is actively involved in collaborations aimed at addressing the UN Sustainable Development Goals.
Vrije Universiteit Amsterdam • Amsterdam, Netherlands
Teaching and researching in finance.
University of St.Gallen • St.Gallen, Switzerland
Taught courses on systemic risk and financial topics.
UBS AG • Zurich, Switzerland
Worked within firm-wide risk control methodology.
Administered under the Department of Clinical Psychology for Master's in Clinical and Developmental Psychopathology.