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Peter Feldhütter


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Peter Feldhütter is a Professor at the University College London, affiliated with the Business department. He is recognized as a Visitor, holding the title of Professor of Finance at Copenhagen Business School. His research interests and professional activities are detailed on his personal website. His profile page indicates his affiliation with UCL School of Management and provides contact details.


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Peter Feldhütter is a Professor of Finance whose research focuses on empirical asset pricing, fixed income, credit risk, and liquidity risk. His work explores the dynamics of corporate bond markets, including liquidity before and after the subprime crisis, search frictions, and selling pressures. Feldhütter also investigates credit spreads, default risk, and the pricing of sustainability-linked bonds. His research contributes to understanding the role of creditor control, debt dynamics, and market mechanisms in price discovery. He has examined the implications of ESG investing on capital structure and the factors influencing bid-ask spreads in over-the-counter markets.

Source: google_scholar · 94 words
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