
معرفی
Dr. David Schroeder is a Reader in Finance at Birkbeck Business School, part of Birkbeck, University of London. He holds a PhD in Economics from the University of Bonn (2008) and has been affiliated with Birkbeck since 2009. His research focuses on empirical asset pricing, decision-making under uncertainty, and firm profitability dynamics. He currently supervises four doctoral researchers and has mentored alumni like Michael Howell (2018).
Teaching responsibilities include modules such as Asset Management and Corporate Finance. He chairs the Examinations Sub-board for the MSc Finance program, demonstrating his leadership in academic governance. His work spans theoretical and applied finance, with notable contributions to dividend timing, ambiguity preferences in decision-making, and international market efficiency analysis.
- Education: PhD in Economics, University of Bonn (2008)
- Research Interests: Empirical asset pricing, ambiguity aversion modeling, and firm profitability forecasting
- Administrative Roles: Chair of MSc Finance Examinations Sub-board
Publications highlight his expertise in behavioral finance, with a focus on investor sentiment and market efficiency. His recent work (2025) explores sentiment analysis using non-traditional data sources like social media, reflecting cutting-edge trends in financial research.


