
معرفی
Søren Feodor Nielsen is a Professor in the Department of Finance at Copenhagen Business School, Denmark, holding an active ORCID profile (0000-0002-9399-4918). His academic work spans finance, statistics, and international business with significant contributions to econometric methodology.
Research interests center on Finance and Financial Econometrics, particularly volatility modeling and corporate default analysis. His statistical expertise focuses on Missing Data Analysis and Survival Analysis, including coarsening at random mechanisms and imputation techniques. Additional work explores International Business dynamics such as economic sanctions and R&D globalization. This interdisciplinary approach bridges theoretical statistics with real-world financial applications.
Publication trends reveal an evolution from foundational statistical methods (2000-2010) toward applied finance and international business (2015-2023). Recent work integrates econometric rigor with contemporary issues like economic sanctions and fintech, while maintaining core contributions to missing data theory. The research demonstrates consistent methodological innovation across finance, statistics, and business disciplines.
Advising: Nielsen has supervised 5 students according to institutional records, though specific details of these supervisions are not publicly documented in available sources.



