معرفی
Michael Johannes is a Professor of Finance at Columbia Business School, holding the Mario J. Gabelli Professorship. He earned his Ph.D. and M.A. in Economics from the University of Chicago (2000) and a B.S. from Marquette University, graduating summa cum laude and as a Phi Beta Kappa member (1995). At Columbia, he teaches the elective course Capital Markets and Investments.
- Education: Ph.D. & M.A., University of Chicago (2000); B.S., Marquette University (1995).
His research focuses on empirical analysis of fixed-income and derivative securities pricing models, with an emphasis on econometric methods for models involving jumps and stochastic volatility. He has contributed to the theoretical and applied understanding of financial markets.
Professor Johannes is affiliated with the Financial and Business Analytics Committee at Columbia Business School, reflecting his interdisciplinary engagement in financial analytics and business strategies.





