Greg Buchak is an associate professor of finance at Stanford Graduate School of Business. Buchak earned his PhD in financial economics at the University Chicago’s department of economics and Booth School of Business. He also received a JD from the University of Chicago Law School. Before graduate school, he was a quantitative trader and portfolio manager at Goldman Sachs and the Royal Bank of Canada. He received a BA in mathematics and a BS in economics at the University of Pennsylvania
Discussion paper
DP17497 Wide or Narrow? Competition and Scope in Financial Intermediation
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- Financial Markets
VoxEU Column
Customer data access and fintech entry: Early evidence from open banking
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- Finance and Fintech ![](../../../../../../../../../../var/folders/34/zq18d8kx7kbgby0j06p_j6t40000gn/T/TemporaryItems/NSIRD_screencaptureui_EM2XPo/Screenshot 2022-01-04 at 17.01.16.png)
- Financial Regulation and Banking