Ian Martin

Assistant Professor of Finance
Stanford Graduate School of Business
Visiting Scholar
5/16/10 5/28/10

Ian Martin conducts research on financial markets and the macroeconomy. In recent papers, he has investigated theoretical models of asset price comovement, the implications of disasters for financial markets, asset returns in the long run, the behavior of small assets, long interest rates, and the equilibrium impact of borrowing constraints. He previously was an associate for Goldman Sachs International, London, UK, in the area of interest-rate derivative trading and currently serves as a referee for EconometricaReview of Economic StudiesJournal of Political EconomyQuarterly Journal of EconomicsJournal of Finance, and Review of Financial Studies. Martin received a BA in mathematics from the University of Cambridge, a master’s degree in economics from the London School of Economics, and a PhD in economics from Harvard University.