Martin Oehmke is a Professor of Finance at the London School of Economics and a research fellow at CEPR. Previously, he was the Roger F. Murray Associate Professor of Finance at Columbia Business School and a Faculty Research Fellow in the NBER’s corporate finance program. Martin received his PhD in Economics from Princeton in 2009. His main research interests are financial intermediation and corporate finance theory. Martin is the author of numerous articles in leading journals in finance and economics. He is a member of the Advisory Scientific Committee of the European Systemic Risk Board, is an associate editor at the Journal of Finance, and serves on the editorial board of the Review of Economic Studies. He is the current president of the Finance Theory Group, a past winner of the Brattle Distinguished Paper Award, and the recipient of an ERC Starting Grant.