
معرفی
Markus Ibert is currently an Assistant Professor of Finance at Copenhagen Business School, having previously served as a Senior Economist at the Federal Reserve Board of Governors in Washington, D.C. His academic foundation includes a PhD in Finance from the Stockholm School of Economics and prior degrees from the University of Mannheim.
His educational qualifications are:
- PhD in Finance, Stockholm School of Economics
- M.Sc. in Management, University of Mannheim
- B.Sc. in Business Administration, University of Mannheim
Dr. Ibert's research spans empirical asset pricing, portfolio choice, international finance, mutual funds, asset management, and index investing, with concentrated focus on financial intermediation and institutions. His work examines how risk attitudes, patience, and carbon pricing mechanisms influence investment behaviors and market outcomes, particularly within mutual fund ecosystems.
His publication record demonstrates consistent exploration of asset pricing anomalies and institutional investor behavior, with his 2018 Review of Financial Studies article establishing foundational insights into mutual fund manager compensation structures and skill evaluation metrics across global markets.
No scientific awards were documented in available sources. Information regarding student advising, research grants, laboratory facilities, or collaborative research teams remains unspecified in current documentation.




