David Skovmand
Part-time Lecturer
Om
Presentation and academic fields
David Skovmand holds a PhD in Economics and Management at Aarhus University and Msc in Mathematics-Economics(cand.scient.oecon) also at Aarhus University.
His academic fields of interest is most things related to interest rates, interest rate derivatives, bond markets but also derivatives in general. His focus is mainly on pricing, hedging and general quantitative modelling of financial markets
Pedagogical experience/method skills/supervision
He has been course responsible for Portfolio Theory (Porteføljeteori) at cand.merc.FIR and Empirical Finance at cand.merc.FIN.
At UCPH he has been been teaching primarily in mathematical finance since 2016.
He has supervised more than 150 students at the bachelor and msc level, including many from CBS.