
معرفی
Prof. Marta Szymanowska is a Professor of Macro-Finance and Philosophy of Finance at Rotterdam School of Management (RSM), Erasmus University. She holds a PhD in Finance from Tilburg University and has held academic positions since 2006, including tenure as Associate Professor (2013–2025) and career breaks for maternity leave. Her research bridges financial markets' theoretical foundations with real-world economic implications, focusing on commodity markets, inflation risks, and the philosophy of financial science.
- Affiliations: Erasmus Initiative 'Dynamics of Inclusive Prosperity', RSM Finance Department
- Education: PhD in Finance (Tilburg University, 2006), M.Sc. Finance (Tilburg University, 2002), M.Sc. Finance (University of Economics, Krakow, 2002)
Her work examines macroeconomic risks, commodity futures markets' informational role, and the ethical dimensions of financial practices. Recent publications explore model evaluation in financial economics and the reproducibility of management science findings. She has presented at major conferences (AFA, EFA, WFA) and served on editorial boards of top journals like the Journal of Finance.
- Awards: 2017 Best Paper Award (Financial Derivatives), RSM Teaching Innovation Award, multiple grants for interdisciplinary research
- Advising: Supervised 5 PhD students, including placements at Nova School, SKEMA Business School, and Nyenrode Business University
Prof. Szymanowska co-teaches sustainability-focused courses and participates in initiatives addressing inclusive prosperity. Her research group actively engages with policy institutions like the Commodity Futures Trading Commission (CFTC).


