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Philipp Sebastian Rogge is a distinguished Professor of Finance at the University of Zurich. His research interests are primarily centered around empirical asset pricing, behavioral finance, sustainable finance, and the implications of FinTech on financial markets. He is known for his rigorous quantitative analysis and contributions to understanding market anomalies, investor behavior, and the integration of sustainability factors into investment decisions. Professor Rogge has a strong publication record in leading international finance journals and is actively involved in teaching at both undergraduate and postgraduate levels, as well as supervising doctoral students. Prior to his current position, he held academic roles at other prestigious institutions, including WHU – Otto Beisheim School of Management.
Philipp Sebastian Rogge's work history includes a series of influential roles in various companies. Here is a detailed list of his professional journey:
Holds a prestigious professorship at a leading European university, contributing to research and education in finance.
Co-authored influential research published in the Review of Financial Studies, a top-tier academic journal, on topics such as 'Gambling Golems and the Factor Zoo'.
Recognized for his research contributions to the growing field of sustainable finance, analyzing ESG factors and their impact on asset valuation and risk.
Conducted significant research exploring how psychological biases affect investor decisions and market outcomes, contributing to the field of behavioral finance.
University of Cologne
Universidad Argentina de la Empresa
The State University of New York
Universität Passau
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