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Professor Sanjiv Das

Sanjiv DasProfessor of Finance at Santa Clara University.


  • Risk, regulation and restructuring of distressed mortgage debt.


  •  9:15am

Sanjiv Das is Professor of Finance at Santa Clara University's Leavey School of Business, and previously held faculty appointments at Harvard Business School and UC Berkeley. He also holds post-graduate degrees in finance and computer science.

Before becoming an academic, he worked in the derivatives business in the Asia-Pacific region and was a vice president for Citibank Asia.

He is a senior editor of The Journal of Investment Management and co-editor of The Journal of Derivatives.

His research interests include:

  • modelling of default risk
  • machine learning
  • social networks
  • derivatives pricing models
  • portfolio theory and venture capital.