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Johan Stax Jakobsen holds a PhD in Economics and Business Economics and a MSc in Economics (Cand.Oecon) from Aarhus University.
Research interests include volatility modelling and forecasting, financial econometrics, and portfolio construction.
Johan Stax Jakobsen is currently employed as a Senior Portfolio Manager at PenSam. He also works part-time as an External Lecturer at the Department of Finance, Copenhagen Business School and as an External Examiner appointed by the Ministry of Higher Education and Science.
He has more than 10 years of experience from the financial sector.
Johan Stax Jakobsen has published in Economet-rics, Economics Letters and Quantitative Finance.
Johan Stax Jakobsen is teaching the elective course Python for the Financial Economist (2021-) for the MSc in Economics and Business Administration. He also supervises Master Theses and Business Projects.
Previous teaching experience includes lecturing the course Quantitative Methods (2018-2020) for the MSc in Economics and Business Administration (Finance and Investments) and working as a Teaching Assistant in several mathematics, statistics, and programming courses at Aarhus University.