Professor
Ken L. Bechmann
Ken L. Bechmann is a professor of Finance at Copenhagen Business School. Ken’s main teaching and research activities are risk management, financial markets, and executive compensation. Ken is member of the Governing Board of a pension fund and has previously been board member and chairman for different Danish companies including a mutual fund and the Danish Financial Supervisory Authority. Finally, Ken is the executive editor for the Danish finance journal, Finans/Invest.