Mark Schroder a professor in the Department of Finance in the Broad School and an adjunct professor in the Department of Statistics and Probability. He has a PhD in finance from Northwestern University, a finance MBA from University of Chicago, and an economics MSc from London School of Economics. From 1994-1998, he was assistant professor at State University of New York.
In addition to academics, Dr. Schroder has done consulting work for Fuji Securities and Nesbitt-Buns Securities. Also, he has worked for the Chicago Board of Trade, Chicago Research and Trading, as well as Prudential-Bache Securities.