Dr Jean-Pierre Zigrand is Associate Professor of Finance and Co-Director of the Systemic Risk Centre at the London School of Economics. His research interests are in the areas of systemic risk and asset pricing in which he has an extensive publication record. His teaching is principally in quantitative finance at MSc, PhD and executive levels. Dr Zigrand is the Director of the LSE MSc Finance executive programme. He has acted as a Consultant to private sector financial institutions, to the Luxembourgish Central Bank as well as to regulatory bodies. He has been a Lead Expert to the UK Foresight Team on the Future of Computer Trading. Dr Zigrand has a BA and MA in Economics from the Catholic University in Louvain and a PhD in Economics from the University of Chicago.

VoxEU Column
Moral hazard, the fear of the markets, and how central banks responded to Covid-19
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- COVID-19 
- Monetary Policy 
- Financial Markets

VoxEU Column
The coronavirus crisis is no 2008
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- COVID-19 
- Global crisis

VoxEU Column
Why macropru can end up being procyclical
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- Financial Regulation and Banking 
- Macroeconomic policy

VoxEU Column
On the financial market consequences of Brexit
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- Europe's nations and regions 
- Financial Markets
VoxEU Column
A proposed research and policy agenda for systemic risk
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- Financial Regulation and Banking 
- Macroeconomic policy