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Lukas Schmid is a Professor of Finance at the Marshall School of Business, University of Southern California. He serves as a CEPR Research Fellow and has a decade-long experience at the Fuqua School of Business, Duke University. As an editor in the Finance area for Management Science, Lukas's research interests focus on dynamic quantitative modeling and structural estimation at the intersection of macroeconomics and financial economics. His recent work investigates corporate and sovereign default credit risk and the connection between innovation, long-run growth, and financial market performance. Lukas's research has been published in recognized journals such as the American Economic Review, Journal of Finance, Journal of Financial Economics, Review of Financial Studies, and Journal of Monetary Economics. His paper on capital structure and asset returns received the Smith-Breeden Award (First Prize) from the Journal of Finance in 2010. At Marshall, he teaches investments to undergraduate students and advanced asset pricing to PhD students.
MS in Finance is a rigorous program at Marshall School of Business.