Topic:
We are currently offering a master thesis project for a motivated student interested in the microstructure of financial markets. For more information please see the attached PDF file.
What we are looking for:
- You have an excellent academic track record with a current GPA of at least 2.0.
- You are currently completing a master’s programme in Management & Technology or Finance and Information Management.
- You have knowledge of empirical methods.
- You have already used Python, Stata, or R or are willing to learn how to use them.
- You have strong analytical skills.
- You are interested in financial markets.
What we offer:
- Close supervision, helping you to expand your skillset.
- Learn how to conduct empirical research and apply quantitative methods using statistical software.
- Participate in seminars by leading scholars in finance, giving you exposure to the current state of research.
If interested, please send an e-mail with CV, academic transcript, and a few sentences about your motivation to Stefan Baumann (stefan.baumann@tum.de).
In case of any questions, please contact Stefan Baumann (stefan.baumann@tum.de).