Jan Starmans is an Assistant Professor at the Department of Finance at the Stockholm School of Economics. His research interests lie in corporate finance, sustainable finance, contract theory, and search theory. He received his PhD in Finance from London Business School. He teaches the course “Sustainable Finance” in the Master in Finance program and the course “Theoretical Corporate Finance” in the PhD program.
Jan Starmans (2022). Technological Determinants of Financial Constraints, Management Science, Forthcoming
Jan Starmans and David Schoenherr (2021). When Should Bankruptcy Law Be Creditor- or Debtor-Friendly? Theory and Evidence. Journal of Finance, Forthcoming
Contracting and Search with Heterogeneous Principals and Agents
Revise and resubmit at the Journal of Economic Theory