Dr. Raymond Kan

Professor

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Biography

Raymond Kan is a Professor Emeritus in Finance at the Rotman School of Management, University of Toronto. With a solid academic foundation that includes a PhD and an MBA from the University of Chicago, Kan specializes in empirical asset pricing, portfolio management, and computational statistics. His research contributions have been published in reputable journals such as the Journal of Finance, Review of Financial Studies, Journal of Financial Economics, and Journal of Econometrics. Currently, he also serves on the editorial board of the Journal of Financial Econometrics, demonstrating his commitment to advancing the field of finance. His teachings and insights revolve around asset pricing, focusing on how factors influence prices, risks, and expected returns—critical knowledge for investors' decisions regarding investments in financial markets.

Research Interests

Requirements for University of Toronto

Master Program
Requirements
GPA Requirement
Required:3.3
IELTS
Listening
Required:6.5
Reading
Required:6.5
Writing
Required:6.5
Speaking
Required:6.5
Overall
Required:7
TOEFL
Listening
Required:22
Reading
Required:22
Writing
Required:22
Speaking
Required:22
Total
Required:93
Prerequisites
Appropriate four-year bachelor's degree Background in sociological theory and statistics preferred
Application Checklist
  • Transcripts
  • Two letters of reference
  • Statement of intent
  • Writing sample
  • Curriculum Vitae
Specialization Notes

Department of Sociology