
معرفی
Marc Schauten is an Associate Professor in Finance at Vrije Universiteit Amsterdam and a lecturer at Mondriaan Onderwijsgroep in Delft. Previously, he held roles as an Assistant Professor at Erasmus School of Economics, Director of the Erasmus Center for Financial Training, and a business analyst at De Nationale Investeringsbank N.V. He earned his Ph.D. in Financial Economics from Erasmus University and is known for his research in valuation, capital structure decisions, and cost of capital.
His teaching spans courses like Economic Challenges, Finance I, and Advanced Corporate Financial Management. Ancillary activities include advisory roles at Rotterdam School of Management and CF2 in Leidschendam since 2014.
Research interests focus on financial markets, corporate finance, and behavioral finance. Notable work includes analyzing market mispricing, hedge fund strategies, and optimal capital structure frameworks. He frequently publishes in journals like European Financial Management and Journal of Empirical Finance.
Publications highlight topics such as green bonds, factor timing in hedge funds, and the impact of corporate governance on firm value. Ancillary activities and industry collaborations enrich his academic contributions.

