Stefan Zeisberger

is Professor at Radboud University (Netherlands) and at the University of Zurich (Switzerland). Previously he held positions at, among others, the California Institute of Technology and Stony Brook University in New York where he founded and directed the Center for Behavioral Finance.

Stefan’s research focuses on investor psychology, in particular risk preferences and perception. His work has been published in world-leading academic journals such as the Review of Financial Studies, Management Science or Review of Finance. Besides his academic career Stefan works as a consultant for banks and insurance companies, and he teaches executive courses at various institutions.

> Psychology of Risk

Learn more:
> AIF-program on the psychology of risk: ‘We can’t just switch off our biases’

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