Courses a.y. 2024/2025

Biographical note

I joined the Department of Finance at Bocconi University in 2018. My main area of research is financial economics with a focus on the behavior of stock prices and derivatives.

Before joining Bocconi University, I earned a Ph.D. in financial economics, an M.Sc. in Mathematics and Economics, and a B.Sc. in Mathematics and Economics all from Copenhagen Business School. During my Ph.D. studies, I spent time as a visiting scholar at the University of Toronto and the London School of Economics.

Working papers

Jensen, Christian Skov; Gormsen, Niels Joachim
Higher-Moment Risk

Jensen, Christian Skov; Gormsen, Niels Joachim
Conditional Risk in Global Stock Returns

Jensen, Christian Skov
The Ex Ante Distributions of Individual Stock returns

Jensen, Christian Skov; Jensen, Mads Vestergaard
Differences of Opinion Predicts Volatility

Selected Publications

Skov Jensen, Christian; Lando, David; Pedersen, Lasse Heje
Generalized recovery
Journal of Financial Economics, 2019