Valeria Fedyk

PhD Student in Finance at London Business School


Valeria graduated from Stanford with a double major in Economics with Honors and Mathematics.


Following graduation, Valeria worked at J.P. Morgan and in a research and product management capacity at AQR Capital Management, and she hopes to utilize some of her industry experience in her research. Coming into the Finance PhD program, Valeria is most excited about Empirical Asset Pricing and Behavioral Finance areas of research. Valeria holds the CFA and CAIA financial certifications.