Jean-Pierre Zigrand

Jean-Pierre Zigrand is Co-director of the Systemic Risk Centre and Associate Professor of Finance at the London School of Economics. His research interests are in the areas of systemic risk and asset pricing in which he has an extensive publication record. His teaching is principally in quantitative finance at MSc, PhD and executive levels. Dr Zigrand is the director of the LSE MSc Finance executive programme. He is a member of the Bank of England Bank’s Macroprudential Panel - Market Subgroup and has acted as a consultant to private sector financial institutions, to the Luxembourgish Central Bank as well as to regulatory bodies. He has been a Lead Expert to the UK Foresight Team on the Future of Computer Trading. Dr Zigrand has a BA and MA in Economics from the Catholic University of Louvain and a PhD in Economics from the University of Chicago.

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Tel: +44 (0)20 7852 3543

Publications

Reports
Jan 2013
Sir John Beddington, Dame Clara Furse, Philip Bond, Dave Cliff, Charles Goodhart, Kevin Houstoun, Oliver Linton and Jean-Pierre Zigrand
SRC researchers were involved in a study that explores how computer generated trading in financial markets will evolve over the next 10 years. The project was led by the Government Office for Science. The final project report can be found on the...

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