
معرفی
Dr. Vikas Raman is Senior Lecturer in Finance at Lancaster University Management School's Department of Accounting and Finance, having joined in 2018 following his position as Assistant Professor at Warwick Business School. His research examines market microstructure with specialization in electronic trading, regulatory impacts, and liquidity dynamics.
Raman's scholarly focus includes market design implications of financial regulation, high-frequency trading strategies, and commodity market financialization. He has secured research funding from the National Stock Exchange of India, INQUIRE UK, and the CFTC. His publications analyze diverse markets including corporate bonds, derivatives, and commodities.
His work demonstrates consistent methodological innovation in measuring market quality and trading behavior. Raman participates actively in major finance conferences including American Finance Association and Financial Management Association meetings.
No information about scientific awards is available. He contributes to the Centre for Financial Econometrics, Asset Markets and Macroeconomic Policy research group.





