Luis Alvarez Esteban
 PhD (Economics) 1994, PhD (Applied Mathematics) 1997


lhralv@utu.fi

+358 29 450 2119

+358 40 074 7961

Rehtorinpellonkatu 3

Turku


https://orcid.org/https://orcid.org/0000-0003-1342-1691

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In financial economics: macrofinance, neoclassical investment theory, taxation and investment, real options, irreversible capital accumulation, capital budgeting

In natural resource economics: management of renewable resources, optimal harvesting, optimal forest rotation policies, amenity valuation

In mathematics: Stochastic control theory, optimal stopping, impulse control, singular control, diffusion processes, mathematical finance





I have been a Professor of Quantitative Methods in Management, with a primary focus on mathematical finance and mathematical economics, at the Turku School of Economics (University of Turku) since 2001. My educational and professional background is as follows. I originally studied economics and applied mathematics at the University of Turku (UTU) during 1987–1988. From 1989 to 1994, I worked at the Department of Economics, where I obtained my first PhD in Economics in 1994. My PhD dissertation focused on the impact of anticipated policy changes on firms’ optimal investment policies and, consequently, on their optimal capital accumulation paths. I then moved to the Department of Mathematics, where I worked from 1995 to 2000. During that period, I completed my second PhD in Applied Mathematics in 1997. My second dissertation focused on the application of stochastic control theory to problems arising in economics, finance, and the management of renewable resources.






Stochastic control theory and its applications, optimal stopping and its applications, diffusion processes, real options, stopping games, optimal rotation problems, Faustmann's formula




TKM11/LRS23  Quantitative methods in finance

TKMS8/LRS30 Interest rate derivatives and valuation

TKMS10/LRS29 Mathematical finance

Master's Thesis Seminar in finance





  
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Last updated on 17/12/2025 02:26:57 PM