Ralph Koijen
Professor
Department of Finance
NYU Stern School of Business
United States of America
Biography
Professor Koijen’s research focuses on financial economics and insurance. His recent work studies the risk and regulation in the insurance industry as well as the implications of institutional demand for asset prices. He has published in various economics and finance journals, including the American Economic Review , Econometrica, the Journal of Monetary Economics, the Journal of Finance, the Journal of Financial Economics and the Review of Financial Studies.
Research Interest
Insurance, Institutional investors, Asset pricing