Lecturer in Asset Management

(M.Sc., BI Oslo)

Spring 2020, 2021, 2022

Lecturer in Derivatives and Risk Management

(Advanced Economics and Finance, M.Sc.)

Spring 2015, Spring 2016, and Spring 2017

In 2016, I received a student evaluation of 4.8 (on a 1 to 5 scale, where 5 indicates the best possible evaluation) for teaching this course

Teaching Assistant in Statistics

(International Business, B.Sc.)

Autumn 2013

The course was taught by Søren Feodor Nielsen

Bachelor and Master thesis supervision

Selected topics:

  • Noise in the German Government Bond Market
  • Leveraged loan returns – an investigation of the European and US markets under different market conditions
  • Will Greece Default Again? – An empirical analysis of CDS-implied sovereign default probabilities
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