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Roman Kozhan is a Professor of Finance at Warwick Business School. He joined the institution in 2006 as a Postdoctoral Research Fellow. His research interests broadly lie in the areas of Asset Pricing and Market Microstructure. Roman's work is well-regarded and has been published and presented at top conferences within the field. He holds a PhD in Finance from the European University Viadrina in Germany, and another PhD in Mathematics from Lviv National University of Ivan Franko in Ukraine. Throughout his career, Roman has also served as a consultant for Old Mutual Asset Managers, Sybenetix, and Oncilla FX Trading, engaging in joint industry projects with the National Australia Bank.
Warwick Business School operates through subject groups rather than traditional departments. GMAT/GRE is recommended but not mandatory for most MSc courses, though competitive for Finance.