About

Aleksandar Andonov is a Professor of Finance at the Amsterdam Business School, University of Amsterdam. He completed his PhD studies at Maastricht University and afterward worked at Erasmus University Rotterdam. In his research, Aleksandar focuses on analyzing asset allocation in public and private markets, fostering long-term investing, and improving the design and governance of institutional investors. Aleksandar’s research contributes to a better understanding of the asset management decisions of institutional investors which can influence the asset prices and liquidity of financial markets as well as generate broader economic and social effects. His research ideas and findings have been presented at academic and industry conferences, and have been covered in international financial media, such as the Economist, Wall Street Journal, and Financial Times. His research papers have been published in journals such as the Journal of Finance and the Review of Financial Studies. At the University of Amsterdam, Aleksandar teaches courses on asset management and investments.

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