The finance PhD program's focus is financial economics applied to financial management, financial institutions and markets, and includes course work in microeconomics, statistics, econometrics, and finance seminars.
Specializations are corporate finance, asset management and institutional investors, and empirical asset pricing.
The doctoral program requires four to 5 years of work while in residence on the Eugene campus. The goal is to equip students to conduct original research on important problems that are of interest to both academics and practitioners in the field of finance.
