
About
J.J. (Jakob) Bosma is a Lecturer at the Faculty of Economics and Business, University of Groningen. He holds a PhD and also serves as a Quantitative Analyst and owner of Bosma Quantitative Services B.V.
His research focuses on Quantitative Finance, Systemic Risk, and Financial Stability, with particular expertise in Fixed Income Modelling, Applied Econometrics, and Numerical Methods. Key research topics include risk spillovers, macroprudential policy, and the implications of financial network structures.
Teaching responsibilities include courses such as International Financial Institutions and Governance and Institutional Investment Management, alongside supervising Finance MSc theses. His work contributes to UN Sustainable Development Goals related to financial stability and systemic risk management.
Professional activities include consulting roles and active publishing in peer-reviewed journals. His research has been cited in academic and policy contexts, with a focus on bridging theoretical frameworks and practical financial policy.
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