
معرفی
Marcus M. Opp is a Professor of Finance at the Department of Finance, Stockholm School of Economics. His research focuses on dynamic contracting, financial intermediation, and international finance, with recent emphasis on sustainable finance and climate-related regulatory policies. He has held roles such as Board Member of the Finance Theory Group (2016–2018) and Editor of the Review of Finance since 2023. Notable awards include the 2016 Jensen Prize for the best paper in corporate finance and the 2017 Poets and Quants Top 40 under 40 award. His work spans theoretical and empirical analyses of financial regulation, socially responsible investment, and macroeconomic dynamics.
Research interests include the interplay between financial regulation and risk-taking, the design of deferred compensation contracts, and the integration of environmental concerns into financial systems. Key contributions address topics like green capital requirements, the impact of deferral and clawback clauses on banker incentives, and the implications of regulatory forbearance in insurance markets.
Awards and recognitions highlight his contributions to corporate finance and global business education. His research has been published in top journals such as Journal of Financial Economics, Review of Economic Studies, and Journal of Economic Theory. Current projects explore sustainable finance frameworks and the role of socially responsible investors in shaping corporate behavior.





