Christian Skov Jensen

Assistant Professor
Knowledge groupFinance
Research domainsFinancial Markets

Biography

Christian Skov Jensen is an Assistant Professor at Università Bocconi in the Finance Department since 2018.  

His main area of research is financial economics with a focus on the behavior of stock prices and derivatives. He is a referee in the Review of Economic Studies, Review of Financial Studies, Journal of Finance, Management Science, Journal of Financial Econometrics and he has published an article in the Journal of Financial Economics. 

Before joining Università Bocconi, he got a Ph.D. in Financial Economics, an M.Sc. in Mathematics and Economics, and a B.Sc. in Mathematics and Economics all from Copenhagen Business School. During his Ph.D. studies, he spent time as a visiting scholar at the University of Toronto and the London School of Economics. 

Recent Publications

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  • 2024
    Conditional risk
    GORMSEN, N. J., C. S. JENSEN, "Conditional risk", Journal of Financial Economics, 2024, vol. 162, pp. 103933
  • 2019
    Generalized recovery
    JENSEN, C. S., D. LANDO, L. H. PEDERSEN, "Generalized recovery", Journal of Financial Economics, 2019, vol. 133, no. 1, pp. 154-174

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