Generate a tailored SOP for Dr. Marco Guidi. Improve your application with a focused, well-structured draft.
Marco Guidi has an established research track record with 8 published papers and chapters in journals of international excellence. His research focuses on democratic corporate governance and financial ethics. He has developed the 'Moral Debt' model based on option theory for firms. With 13 years of higher education teaching experience, he has designed and developed postgraduate and undergraduate courses in international financial management, security analysis, corporate finance, and corporate governance. He holds a PhD in asset pricing from the University of Strathclyde and currently serves as the convener for the Masters in Finance (MFin) degree. Additionally, he coordinates undergraduate and postgraduate courses and is an active member of the college ethics committee as well as an elected member of the Senate. Marco is also a member of the Finance research cluster, contributing expertise in corporate finance, financial ethics, corporate governance, and risk uncertainty. He is interested in supervising doctoral projects in areas related to corporate governance and ethical finance investments.