Marcell Tatar

Marcell was born in Budapest, Hungary. He earned his bachelor’s degree in Economics from the University of Warwick and his master’s degree in Quantitative Finance from the Vienna University of Economics and Business. His master’s thesis examined subjective expectations in empirical asset pricing, exploring their connection to textual information.
In addition to his academic background, Marcell gained industry experience as a valuation analyst and further enhanced his expertise through programs such as the Portfolio Management Program in Vienna, which deepened his interest in asset management. During his master’s studies, his focus gradually shifted toward research, leading him to work as a research assistant. His primary research interests include asset pricing and monetary policy.
In his free time, he enjoys activities such as climbing, hiking, and cycling, and he likes visiting painting exhibitions.
Education:
- Since 2025: PhD in Finance, Vienna Graduate School of Finance
- 2024-2025: PhD in Social and Economic Sciences, Vienna University of Business and Economics
- 2022-2024: MSc in Quantitative Finance, Vienna University of Business and Economics
- 2018-2021: BSc in Economics, University of Warwick