KU Leuven, Belgium
Best Teacher Recognition, 2022
Strategic Financial Decision Making, Master level, 2021/22 -
Corporate Risk Management and Option Techniques, Master level, 2024/25 -
PhD thesis supervision: Francesco Stradi, October 2021 - present
(Co-supervisor: Hans Degryse)
Master theses supervision, 2021/22 -
Utrecht University, the Netherlands
PhD thesis supervision: Oussama El Moujahid, February 2019 - present
(Co-supervisor: Samuele Murtinu)
Multinational Corporate Finance, Master level, 2016/17 - 2020/21
Topics in Corporate Finance, Master level, 2018/19 - 2020/21
International Financial Management, Bachelor level, 2015/16
International Investment Management, Bachelor level, 2015/16
Master and bachelor theses supervision, 2015/2016 - 2020/21
Lund University, Sweden
Strategic Corporate Finance, Master level, Autumn 2013 & 2014
Corporate Financing and Enterprise Risk Management, Master level, Autumn 2013
Degree Project, Master of Science in Business and Economics, Master level, Spring 2013
Financial Econometrics, Master level, Autumn 2014
Macrofinancial Risk Management, Master level, Autumn 2011, 2012 & Spring 2014 (TA)
Master theses, Spring 2015 (Supervisor)
Master theses, Spring 2011 & 2012; and Bachelor theses, Spring 2014 (Co-supervisor)
Best Teacher Recognition, 2022
Strategic Financial Decision Making, Master level, 2021/22 -
Corporate Risk Management and Option Techniques, Master level, 2024/25 -
PhD thesis supervision: Francesco Stradi, October 2021 - present
(Co-supervisor: Hans Degryse)
Master theses supervision, 2021/22 -
Utrecht University, the Netherlands
PhD thesis supervision: Oussama El Moujahid, February 2019 - present
(Co-supervisor: Samuele Murtinu)
Multinational Corporate Finance, Master level, 2016/17 - 2020/21
Topics in Corporate Finance, Master level, 2018/19 - 2020/21
International Financial Management, Bachelor level, 2015/16
International Investment Management, Bachelor level, 2015/16
Master and bachelor theses supervision, 2015/2016 - 2020/21
Lund University, Sweden
Strategic Corporate Finance, Master level, Autumn 2013 & 2014
Corporate Financing and Enterprise Risk Management, Master level, Autumn 2013
Degree Project, Master of Science in Business and Economics, Master level, Spring 2013
Financial Econometrics, Master level, Autumn 2014
Macrofinancial Risk Management, Master level, Autumn 2011, 2012 & Spring 2014 (TA)
Master theses, Spring 2015 (Supervisor)
Master theses, Spring 2011 & 2012; and Bachelor theses, Spring 2014 (Co-supervisor)