
About
Jiri Woschitz is a College Lecturer in the Department of Finance at BI Norwegian Business School, specializing in quantitative finance research and instruction. He holds a PhD in Finance from the University of Zurich (2017) and maintains active research in financial econometrics.
Educational Background:
- PhD in Finance, University of Zurich (2017)
Research Focus:
Dr. Woschitz's work centers on methodological innovations in financial econometrics, particularly robust statistical approaches for causal inference in financial markets. His recent research addresses critical challenges in difference-in-differences analysis within term structure contexts, advancing empirical techniques for asset pricing and market efficiency studies. This positions him at the intersection of theoretical finance and applied statistical methodology.
Academic Contributions:
His publication record demonstrates rigorous scholarship in top finance venues, with a 2025 Journal of Financial Economics paper establishing his expertise in methodological refinement for empirical finance applications. The research output shows consistent focus on improving analytical frameworks for financial data analysis.
Research fields
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