معرفی
Jonas Vandenbruaene is a Professor at Antwerp Management School and a quantitative model supervisor at the National Bank of Belgium. He holds a PhD in Applied Economics from the University of Antwerp. His expertise spans financial economics, data analysis, quantitative risk modeling, and asset pricing. He teaches finance and quantitative courses and has published in journals such as the Journal of Behavioral and Experimental Economics and Journal of Sports Economics.
Education:
- PhD in Applied Economics, University of Antwerp
Research Interests:
Dr. Vandenbruaene focuses on developing and applying quantitative risk models in financial contexts, with a particular emphasis on behavioral economics and empirical asset pricing. His work integrates advanced data analysis techniques to explore economic phenomena, including those in sports economics. His research bridges theoretical frameworks with practical applications in financial decision-making.
Publications:
His work has been featured in prominent academic journals, reflecting his contributions to behavioral economics and quantitative finance. Notable publications include studies in the Journal of Behavioral and Experimental Economics and Journal of Sports Economics.
Awards & Grants:
No specific awards or grants are mentioned in the provided text.
Labs/Teams:
No dedicated labs or research teams are explicitly associated with his profile in the text.


