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Presentation and academic fields
Nicolai S. Laursen holds a BSc and MSc in Economics and Management (cand. Oecon) from Aarhus University. Furthermore, he attained a Ph.D. in Finance from Copenhagen Business School (CBS).
His fields of interest include Asset Pricing, Stock return predictability, and Mortality modelling and longevity expectations.
Professional and/or academic experience
Currently employed as a model developer at Jyske Bank’s department of credit risk model. Additionally, part-time employed as an external lecturer at the department of finance, CBS.
Pedagogical experience/method skills/supervision
Exercise classes for HA IT in Finansiering, supervision on MSc thesis at CBS, and grading for several programs at CBS.
External link