
معرفی
Professor Jens Hagendorff is a Professor of Finance and Head of the Accounting & Financial Management Department at King’s Business School, King's College London. He previously held academic roles at The University of Edinburgh, Cardiff University, and the University of Malaya. His research expertise spans bank risk, systemic risk, ESG integration, corporate governance, and financial regulation.
Education & Career:
- Professor of Finance at King's College London
- Executive MBA Programme Director
- Prior roles at The University of Edinburgh, Cardiff University, and University of Malaya
- Worked at The Bank of Spain’s Financial Stability Department
- Lecturer at The University of Leeds
Research Interests: Corporate governance in banking, executive compensation, systemic risk, ESG strategies, and regulatory frameworks. His work bridges academic research and industry applications, addressing critical issues like bank misconduct prevention and the impact of cultural heritage on leadership decision-making.
Publications Trends: Recent articles focus on CEO behavior (e.g., sibling influence and immigration effects), green investments, regulatory impact, and lender trust dynamics. His work is frequently published in top-tier journals like the Review of Financial Studies and Journal of Financial Intermediation.
Consultancy & Engagement: Advises commercial and central banks, asset managers, and policymakers. Led major industry reviews, including a study on European asset management for EY and PwC. Active in speaking engagements at institutions like the Bank of England and the Federal Reserve.
Academic Leadership: Oversees King’s Executive MBA programmes and promotes executive education in finance, banking, and investment management globally.


