Suleyman Basak

London Business School

Dr. Basak is Professor of Finance at London Business School.  He teaches courses in Fixed Income Securities and Financial Engineering & Risk Management.  He was an Assistant Professor of Finance at the Wharton School of the University of Pennsylvania, was a visitor at the Graduate School of Business at the University of Chicago and acted as a consultant to Goldman, Sachs & Co.  He received his Ph.D. in Financial Economics from Carnegie Mellon University, and holds M.S. degrees in Financial Economics and Civil Engineering from Carnegie Mellon University and a B.Sc.(Eng) in Civil Engineering from University College London.

His main research interests are in the areas of theoretical asset pricing, risk management, market imperfections, international finance and financial innovation. His work has addressed issues related to portfolio insurance, VaR-based risk management, benchmarking, credit risk, tax arbitrage, incentive problems plaguing institutional asset management, and mispricing, arbitrageurs and monopoly power in financial markets.

Dr. Basak serves as an Associate Editor to  Review of Finance and Mathematics and Financial Economics, and as a Research Fellow to the Center of Economic Policy Research (CEPR). He is the recipient of several awards including: the American Association of Individual Investors Award for the Best Paper on Investments, the Alexander Henderson Award for Excellence in Economic Theory at Carnegie Mellon University, the Fulbright Scholarship, General Excellence Teaching and Best Teacher MiF Awards at London Business School, David Hauck Teaching Award at University of Pennsylvania, and Wharton Graduate and Undergraduate Divisions Excellence in Teaching Awards.