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Dr Maik Schmeling is a Reader in Finance at Cass Business School. Prior to Cass he worked as an assistant professor at the University of Hannover (Germany) and was a visiting researcher at the London School of Economics and Copenhagen Business School.
His reseach interests are in return predictability in stock, bond, and foreign exchange markets, empirical asset pricing, international finance, and investor behaviour. At present, he is mainly working on return predictability, risk sharing, sovereign risk, and return expectations in international asset markets. His research has appeared in journals such as the Journal of Finance, the Journal of Financial Economics, Journal of Financial and Quantitative Analysis, and the Journal of International Economics.
Ph: 020 7040 5195