
معرفی
Aleksandar Andonov is Professor of Finance at the Amsterdam Business School, University of Amsterdam. His research focuses on institutional investors, asset management, and alternative asset classes, with particular emphasis on pension fund governance and long-term investing strategies. Andonov examines how institutional investment decisions influence asset prices, market liquidity, and broader economic outcomes.
His publications in top finance journals like the Journal of Finance and Review of Financial Studies analyze pension fund investments in infrastructure, real estate, and alternative assets. Research explores how political representation affects public pension fund decisions and how delegated investment management functions in private markets. His work has been covered in major financial media including The Wall Street Journal and The Economist.
At the University of Amsterdam, Andonov teaches courses on asset management and investments. His current research investigates development financial institutions' venture capital impact, target date funds, and electricity generation financing.



