Luis Berggrun

Luis Berggrun is a Full Professor of Finance at CESA Business School in Bogota, Colombia.

He earned a Ph.D. in Business Administration from Tulane University, and a Master in International Finance from Amsterdam University (with distinction). His current research interests include asset pricing (with a focus on the determinants of stock returns) and risk management (mainly market and credit risk). He has published in international journals like the Journal of Business Research, Research in International Business and Finance, Finance Research Letters and Emerging Markets Finance & Trade. He is the coauthor of a risk management textbook in Spanish “Introducción al Análisis de Riesgo Financiero”. He teaches portfolio and risk management courses in several universities throughout Latin America.

Professor Berggrun has undertaken consulting assignments for financial institutions in issues related to portfolio management, credit risk and operational risk.

He also enjoys programming, swimming and traveling.

You can reach him at luis.berggrun@cesa.edu.co or lberggrun1@gmail.com