Bruno Moreira
Doctoral Research AssociateResearch Overview
Bruno Moreira is a PhD candidate in Finance at Âé¶¹ÊÓÆµ Management School. His research focuses on high-frequency asset pricing and financial econometrics, with a particular emphasis on equity factors, high-frequency data, transaction cost modelling, and portfolio rebalancing.
Currently, he also serves as a tutor for the Financial Econometrics and Quantitative Methods for Finance modules at Âé¶¹ÊÓÆµ.
Prior to joining Lancaster, he earned a Bachelor's degree in Economics and a Master's degree in Finance from Cat¨®lica Porto Business School.
Supervisors: Prof. Ingmar Nolte & Prof. Sandra Nolte
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01/07/2024 → ¡
Research
Participation in conference - Public
Participation in conference - Academic
Other distinction
Fellowship awarded competitively
- Centre for Financial Econometrics, Asset Markets and Macroeconomic Policy
- Financial Econometrics and Financial Markets
- Investments and Asset Pricing