
معرفی
Cesario Mateus is a Full Professor of Finance at Aalborg University Business School, part of The Faculty of Social Sciences and Humanities. He joined Aalborg University in 2019 and has previously held academic positions at institutions such as Cass Business School, Universitat Pompeu Fabra, and the University of Melbourne. He has also worked in industry roles at entities like the Portuguese Securities and Exchange Commission and Banco Comercial Portugues. His research focuses on corporate finance, corporate governance, and asset management, with over 50 publications in high-impact journals such as the European Journal of Finance and the International Review of Financial Analysis.
Education: PhD in Finance from Aarhus University (2008).
Research Interests:
- Corporate Finance: Capital Structure, Cash Holdings, Taxation, Right Issues
- Corporate Governance: Regulation, Supervisory Boards, Banks’ Risk-Taking
- Asset Management: Mutual Funds’ Performance, Style Investments
Selected Projects:
- Principal Investigator of 'The Impact of Fiscal and Industrial Policies on listed SMEs: Evidence from Germany and Italy' (2021).
- Project Participant in 'Climate Risk Reporting by Pension Funds: International Evidence' (2021–2023).
Publications Trends: His recent work emphasizes volatility spillovers in energy and equity markets, mutual fund performance analysis, and the impact of fiscal policies on SMEs. Articles often employ econometric models to analyze market dynamics and regulatory effects.
Professional Roles: Editor-in-Chief of the Journal of Corporate Governance and Sustainability Review, and editorial board member of the Journal of Banking Regulation and Journal of Industry-University Collaboration.





