Hanken School of Economics

Professor in Finance

Teaching

Research Interest

Currently Working on:

Selected publications

  1. - Liljeblom, Eva and Löflund, Anders (2006): "Developments in Corporate Governance in Finland”, International Journal of Disclosure and Governance 3, 277-287.

  2. - Liljeblom, Eva and Löflund, Anders (2005): "The Determinants of International Portfolio Investment Flows to a Small Market: Empirical Evidence", Journal of Multinational Financial Management 15 (3), 211-233.

  3. - Liljeblom, Eva and Löflund, Anders (2001): "Foreign and Domestic Investors and Tax Induced Ex-Dividend Day Trading", Journal of Banking & Finance 25, 1687-1716.

  4. - Liljeblom, Eva and Löflund, Anders (2000): "Evaluating Mutual Funds on a Small Market: Is Benchmark Selection Crucial?", Scandinavian Journal of Management, Vol. 16, pp. 67-84.

  5. - Liljeblom, Eva and Löflund, Anders (1999): "The Euro and Portfolio Choices; A Nordic Perspective", Swedish Economic Policy Review, Vol. 6, pp. 41-82.

  6. - Liljeblom, E., A. Löflund, and S. Krokfors (1997): "The Benefits from International Diversification for Nordic Investors", the Journal of Banking & Finance,Vol. 21, No.4, April, pp. 469-490.
Name
Anders Löflund
Department
Finance and statistics
Degree
D.Sc. (Econ.) 1994, Hanken
Position
Professor
Mail address
Hanken, P.O.BOX 479, 00100 Helsinki, FINLAND
Telephone
+358 9 431 33 351
Telefax
+358 9 431 33 292