
About
Prof. Marcin Kacperczyk is a Professor of Finance at Imperial College London’s Business School, holding this position since August 2013. His affiliations include the Artificial Intelligence Network and the Centre for Climate Finance and Investment. He obtained his PhD in Finance from the University of Michigan (1999–2004). His research spans Banking, Finance, Applied Economics, Econometrics, and Political Science with a recent focus on climate finance, carbon transition risks, and ESG investing.
His work explores how climate adaptation pressures influence corporate strategies, the pricing of carbon transition risks, and the dynamics of net-zero portfolios. Key themes include the interplay between inflation and carbon premiums, legal risks in insider trading, and the role of institutional investors in driving climate action.
No notable scientific awards are explicitly listed in the text. He supervises students in finance-related fields but no names are provided. His research is supported by affiliations with Imperial’s strategic centers, emphasizing applied finance and climate-related financial systems. His personal website (www.kacperczyk.net) likely contains further details on his academic contributions and outreach activities.
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