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Söhnke M. Bartram is a Professor in the Department of Finance at Warwick Business School. He is a Research Fellow in the Financial Economics programme and the International Macroeconomics Finance programme at the Centre for Economic Policy Research (CEPR). Bartram has served as a Charter Member of Risk Who's, an international think tank that offers policy advice to the German government. His research focuses on issues related to international finance and financial markets. He has presented his work at conferences organized by the National Bureau of Economic Research (NBER), CEPR, American Finance Association, Western Finance Association, and American Economic Association. His publications appear in leading journals such as the Journal of Finance, Journal of Financial Economics, Review of Financial Studies, Journal of Financial and Quantitative Analysis, and Management Science. He has even provided testimony to the U.S. Congress House Financial Services Committee. His current research interests include International Finance, Risk Management, Capital Markets, Behavioral Finance, Credit Default Swaps (CDS), Derivatives, Empirical Asset Pricing, Corporate Finance, Climate Finance, Artificial Intelligence in Asset Management, and FinTech.
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.