About
Prof. Dr. Marco Wilkens is a faculty member at the University of Augsburg, affiliated with the School of Economics and Business Administration. His research focuses on Finance, Banking, Risk Management, and Financial Products.
- Risk Management in Banks
- Analysis and Evaluation of Financial Products
- Performance Analysis of Funds
- Interest Rate Risk Modeling
His publications emphasize interest rate risk, financial product pricing, and fund performance, often using empirical evidence from Germany. A notable achievement is the Best Paper Award from the Deutsche Gesellschaft für Finanzwirtschaft in 2007. His work spans topics like lattice models for option pricing, credit risk in structured products, and market phase dependencies in performance metrics.
- Scientific Awards:
- Best Paper Award, Deutsche Gesellschaft für Finanzwirtschaft (DGF), 2007
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