Dr Jan Werner

Photo of Dr Jan Werner

Contact Me

jwerner@umn.edu
612-625-0708

4-101 HMH


1925 4th Street South

Affiliations
Educational Background & Specialties

Educational Background

  • Ph.D.: European Doctoral Program in Quantitative Economics, University of Bonn, 1985.
  • M.S.: Mathematics, University of Warsaw, 1979.

Specialties

  • general equilibrium theory
  • financial economics
  • asset pricing
Courses Taught
  • Econ 8001 - 8004: Microeconomic Analysis Sequence
  • Econ 8101 - 8104: Microeconomic Theory Sequence
  • Econ 8704: Financial Economics
Research & Professional Activities

Professional Activities

  • Associate Editor, Mathematics and Financial Economics: 2014 - present
  • Board Member: Minnesota Economics Association , 2006 - present
  • Associate Editor: Annals of Finance , 2004 - present
  • Associate Editor: Economic Theory , 2002 - 2014
  • Associate Editor: Central European Journal of Economic Modeling and Econometrics , 2010 - present
  • President: Minnesota Economics Association , 2010
  • Associate Editor: Journal of Mathematical Economics , 1992 - present
Publications
  • Rational Asset Pricing Bubbles and Debt Constraints: Werner, Jan, Journal of Mathematical Economics, 53C 145-152, 2014.
  • Efficient Allocations under Ambiguity: Werner, Jan, Tomasz Strzalecki, Journal of Economic Theory, 141 1173-1194, 2011.
  • Liquidity and Asset Prices in Rational Expectations Equilibrium with Ambiguous Information: Werner, Jan, Han Ozsoylev, Economic Theory, 48 469-491, 2011.
  • Risk Aversion for Variational and Multiple-Prior Preferences: Werner, Jan, Journal of Mathematical Economics, 47 382-390, 2011.
  • Principles of Financial Economics. Werner, Jan, Stephen LeRoy, Cambridge University Press, 2000.