Maximilian Renz has been a doctoral student at Frankfurt School of Finance & Management since October 2013. His core areas are empirical asset pricing and asset allocation. After finishing his bachelor studies in Economics with a focus on finance and accounting at the Goethe University in Frankfurt, Maximilian earned a Master in Finance degree at Warwick Business School in the United Kingdom. During his studies, Maximilian gained practical experience in the portfolio management industry and the corporate finance advisory department of an international consultancy.
Current research area: macroeconomic risk in asset prices