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Anindya SenLecturer
B.Stat (Indian Statistical Institute), PhD, Mathematics(Chicago)

Tel +64 3 479 8104
Office OBS 4.10

Dr Anindya Sen joined the Accountancy & Finance department in May 2014. Anindya also teaches core courses in Statistics and Finance in the MBA program. Both subjects are extremely relevant in the corporate world and have a significant quantitative component. He strongly recommends that anyone taking his papers be comfortable with mathematics at the GMAT level at least (but more is always merrier).

International teaching and industry experience

Anindya has a wealth of experience both as an academic and a practitioner. He was formerly lecturing at the Indian Institute of Management, one of India's leading business schools. Prior to this, he worked for four years as a Quantitative Strategist at leading investment banks, Goldman Sachs and Morgan Stanley in London. His primary responsibility involved modelling complex financial derivatives and designing customized financial products for clients.

Global Perspective

The material taught in Anindya's courses is universally applicable and not confined to any cultural or regional context. In his teaching, he tries to demonstrate this fact by drawing on examples from various disciplines including multiple areas of management, and if necessary, even the natural sciences.


  • FINC 202 Investment Analysis and Portfolio Management

Research interests

  • Investment analysis
  • Portfolio management
  • Financial derivatives
  • Quantitative strategy


Sen, A., & Wesselbaum, D. (2023). On the international spillover effects of uncertainty. Open Economies Review, 34, 541-554. doi: 10.1007/s11079-022-09694-2 Journal - Research Article

Butchers, J., Bhabra, G. S., Bhabra, H. S., & Sen, A. (2021). Agency conflicts and the marginal value of capital expenditure in Australian listed companies. Review of Pacific Basin Financial Markets & Policies, 24(1), 2150001. doi: 10.1142/s0219091521500016 Journal - Research Article

Saha, S., Sen, A., Smith-Han, C., & Wesselbaum, D. (2021). Did Brexit change asset co-movements? Journal of Financial Economic Policy, 14(1), 43-55. doi: 10.1108/jfep-07-2020-0152 Journal - Research Article

Tan, E. K. M., & Sen, A. (2019). Does educational diversity of managers matter for the performance of team-managed funds? Accounting & Finance, 59(S1), 801-830. doi: 10.1111/acfi.12265 Journal - Research Article

Whiting, R. H., Hansen, P., & Sen, A. (2017). A tool for measuring SMEs' reputation, engagement and goodwill: A New Zealand exploratory study. Journal of Intellectual Capital, 18(1), 170-188. doi: 10.1108/JIC-02-2016-0028 Journal - Research Article

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