
معرفی
Frederik Steen Lundtofte is a Full Professor of Finance at Aalborg University Business School, part of the Faculty of Humanities and Social Sciences. He holds a PhD in Economics from Lund University and conducted PhD studies at UCLA. His research focuses on portfolio choice, asset pricing, and banking risk behavior, with publications in top journals like European Economic Review and Journal of Banking and Finance. He has led/co-led projects such as Green Finance (2024–2026) and Climate Finance (2019–ongoing).
- Education:
- PhD in Economics, Lund University (2000–2005)
- PhD studies in Economics & Finance, UCLA (2001–2002)
- MSc in Economics, Lund University (1996–2000)
His research interests include volatility analysis, risk premiums, and investor behavior. Notable projects involve green transitions in port operations and cross-border banking dynamics. He has served as a peer reviewer for journals like Investment Analysts Journal and Financial Markets and Portfolio Management.
He is also a Research Fellow at the Danish Finance Institute and has collaborated internationally, including at the Institute of Economics, Academia Sinica, Taipei.

