Marcin Kacperczyk is a Professor of Finance at the Imperial College London Business School. He is also a Research Fellow at the Centre for Economic Policy and Research. In addition, he serves as an Associate Editor of Financial Management, Management Science, Review of Financial Studies and Review of Finance, and is a former Research Fellow of the National Bureau of Economic Research.
Professor Kacperczyk’s research focuses mostly on financial markets, financial intermediation, and asset management. His latest work analyses the effects of unconventional monetary policy on asset management industry and corporate sector. He has also written on a broad range of topics such as social norms, short-term debt markets, performance evaluation, labour unions, insider trading, income inequality, and portfolio choice. He has analysed various effects of informed trading in finance. His articles have appeared in Econometrica, Journal of Finance, Journal of Financial Economics, Quarterly Journal of Economics, Review of Finance, Review of Financial Studies, as well as non-academic outlets such as Bloomberg, Financial Times, Forbes, New York Times, Wall Street Journal, and Business Week.
He has analysed various effects of informed trading in finance. His articles have appeared in Econometrica, Journal of Finance, Journal of Financial Economics, Quarterly Journal of Economics, Review of Finance, Review of Financial Studies, as well as non-academic outlets such as Bloomberg, Financial Times, Forbes, New York Times, Wall Street Journal, and Business Week.