PhD in Management, Finance 
Educational Background
- Master of Science, Finance and Investment, Durham University, England, UK 
 
- Bachelor of Mathematics, Mathematics/Business Administration, Honours, University of Waterloo, ON, Canada
 
Reasons for Choosing Laurier
- Reputation and Accreditation
 
- Strong Research Focus
 
- Industry and Academic Connections
 
- Supportive PhD Culture
 
Research Interests
- Asset pricing and investments
- Market efficiency, behavioral asset pricing
 
- Portfolio management, risk-return tradeoffs
 
- Cryptocurrencies, alternative investments
 
 
- Behavioral finance
- Investor psychology, biases in financial decision-making
 
- Herding behavior, overconfidence in markets
 
 
- International finance
- Exchange rate dynamics
 
- Global capital flows
 
 
Career Goal
My long-term vision is to bridge academia and practical finance by becoming a professor-researcher. Through rigorous research in behavioral finance and asset pricing, I aim to contribute groundbreaking insights to financial literature.