معرفی
Jan Annaert is a full professor of finance at the University of Antwerp's Faculty of Applied Economics. He teaches in the Master in Finance program at Antwerp Management School. Previously, he held roles including assistant professor at Erasmus University Rotterdam (1994–1997), associate professor at Ghent University, and teaching positions at Vlerick Leuven Ghent Management School (1999–2006). His research focuses on portfolio theory, asset pricing, financial history, and financial risk management, with publications in journals like the European Journal of Finance and Journal of Banking and Finance.
- Education: PhD in Finance from University of Antwerp (1993).
- Research: Conducted an internship at the National Bank of Belgium’s Financial Stability Department (2008–2009).
- Leadership: Co-supervises the KBC Chair in Financial Risk Management with Marc De Ceuster.
- Professional Roles: Member of the University of Antwerp’s Investment Committee; serves as an independent director at Europabank, Keytrade Bank, Crelan Fund, and Crelan Invest since 2010; and participates in KBC Asset Management’s Pricing and Valuation Committee.
His interdisciplinary research integrates historical analysis with modern financial theory, emphasizing practical applications in risk management and asset valuation.
