Nikolai Roussanov

Nikolai Roussanov

Associate Professor of Finance
The Wharton School
(Moderator)

Nikolai Roussanov is an Associate Professor of Finance at the Wharton School, University of Pennsylvania, and Research Associate at the National Bureau of Economic Research. His research focuses on areas of interaction between asset pricing and macroeconomics, ranging from equity to fixed income, currency, and commodity markets, to entrepreneurship and consumer financial behavior. His articles have been published in the Journal of Finance, the Quarterly Journal of Economics, the Journal of Financial Economics, the Review of Financial Studies, and Management Science. He currently serves on the board of directors of the Macro Finance Society and on editorial boards at the Journal of Monetary Economics and Management Science.

Roussanov received an undergraduate degree in mathematics from Harvard College in 2001 and a Ph.D. in Finance from the University of Chicago in 2008.