Author: Keith J
Author
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Keith began his career as a finance professional and gained his first-hand experience in the banking sector. However, the global financial crisis of 2007 completely changed his life. At that point, Keith decided to return to academia and pursue a PhD in finance to gain a much deeper understanding of the behavioural and systemic factors underlying financial markets. While getting a doctorate, Keith explored such topics as market volatility, financial modelling, behavioural finance, and econometrics.
Since completing his PhD in 2014, Keith has been working as a full-time academic writer, writing for content creation companies and academic writing services, producing high-quality financial market reports, articles, and case studies. In 2018, Keith joined the PhD Centre creative team and, since then, has become one of its most technically skilled members. He has expertise in Excel, MATLAB, and R, which enables him to perform sophisticated statistical modelling, data visualisation, and financial forecasting. His topics and areas of specialism include capital budgeting, portfolio optimisation, financial risk management, corporate finance management, financial crises, and market volatility.
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