
معرفی
Professor Martin Holmén holds a Ph.D. from the University of Gothenburg (1998) and has been affiliated with Stockholm University and Uppsala University before returning to Gothenburg in 2009. He serves as a Professor of Corporate Finance and previously directed the interdisciplinary Centre for Finance (2011–2020). His primary research focuses on corporate governance, experimental finance, and financial market behaviors. Key roles include advising on institutional investments and regulatory frameworks.
Education: Ph.D. in Economics from University of Gothenburg (1998). Professional trajectory includes senior roles at Stockholm University (2000s) and leadership in finance-related academic initiatives. Research spans corporate control mechanisms, financial decision-making under social incentives, and experimental methodologies in asset markets.
Publications emphasize empirical and experimental analysis of financial behaviors, including studies on risk-taking under competition, incentive structures in mutual funds, and governance practices in corporate mergers. Notable works address how social comparisons and tournament-based incentives shape investment choices.
No formal awards listed, but active in prominent journals like Economic Journal and Management Science. Collaborations with institutions like the Centre for Finance highlight his interdisciplinary approach. No specific grants or labs mentioned in the text.

