Associate Professor (with tenure) University of California, Davis, Agricultural and Resource Economics

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JENS D. HILSCHER University of California, Davis Social Science and Humanities #3109 1 Shields Ave, Davis CA 95616 jhilscher@ucdavis.edu Phone: (530) 752-4081 http://hilscher.ucdavis.edu Professional Experience 2016-present Associate Professor (with tenure) University of California, Davis, Agricultural and Resource Economics 2012-2015 Associate Professor of Finance (with tenure) Brandeis University, International Business School and Department of Economics 2005-2012 Assistant Professor of Finance Brandeis University, International Business School and Department of Economics Jan-Aug 2009 Visiting Scholar London School of Economics, Financial Markets Group Jan-Jun 2014 Visiting Scholar, Research Department Education 2005 PhD, Economics, Harvard University Thesis title: Essays in financial economics and credit risk 1999 MSc, Economics, London School of Economics ESRC Advanced Studentship 1998 BSc, Economics, London School of Economics First Class Honors, Gerstenberg and Raynes Prizes Research fields Asset pricing, Corporate finance, Credit risk, Sovereign debt, Behavioral finance Articles In search of distress risk (with John Y. Campbell and Jan Szilagyi), Journal of Finance Vol. 63, No. 6, 2899-2939, December 2008. Determinants of sovereign risk: Macroeconomics fundamentals and the pricing of sovereign debt (with Yves Nosbusch), Review of Finance Vol. 14, No. 2, 235-262, April 2010. Deutsche Bank Prize in Financial Economics Review of Finance Best Paper Award (2 nd Prize) Predicting financial distress and the performance of distressed stocks (with John Y. Campbell and Jan Szilagyi), Journal of Investment Management, Vol. 9, No. 2, 14-34, 2011. Harry M. Markowitz Award Journal of Investment Management Best Paper Award (2011) Jens D. Hilscher, October 2017, 1 of 5

Conflicts of interest on corporate boards: The effect of creditor-directors on acquisitions (with Elif Şişli-Ciamarra), Journal of Corporate Finance, Vol. 19, 140-158, February 2013. Eastern Finance Association Outstanding Paper in Corporate Finance (2012) Sources of momentum profits: Evidence on the irrelevance of characteristics (with Pavel Bandarchuck), Review of Finance, Vol. 17, No. 2, 809-845, April 2013. Inflation derivatives under inflation target regimes (with Mordecai Avriel and Alon Raviv), Journal of Futures Markets, Vol. 33, No. 10, 911-933, October 2013. Bank stability and market discipline: The effect of contingent capital on risk taking and default probability (with Alon Raviv), Journal of Corporate Finance (Corporate Finance Theory Special Issue, lead article), Vol. 29, 542-560, December 2014. Eastern Finance Association Outstanding Paper in Financial Institutions (2012) Are credit default swaps a sideshow? Evidence that information flows from equity to CDS markets (with Joshua Pollet and Mungo Wilson), Journal of Financial and Quantitative Analysis, Vol. 50, No. 3, 543-567, June 2015. Credit ratings and credit risk: Is one measure enough? (with Mungo Wilson), Management Science, Vol. 63, No. 10, 3414-3437, October 2017. Other publications Measuring the risk of default: A modern approach (with Robert A. Jarrow and Donald R. van Deventer), Risk Management Association (RMA) Journal, July-August:60-65, 2008. The Importance of Volatility for Sovereign Risk: Applying the Intuition of Corporate Debt Models (with Yves Nosbusch), Research in Management Economics and Finance, 2013. Working papers Inflating away the public debt? An empirical assessment (with Alon Raviv and Ricardo Reis). Optimal regulation, executive compensation, and risk taking by financial institutions (with Yoram Landskroner and Alon Raviv) Is the corporate bond market forward looking? (2008), ECB working paper. Work in progress Measuring the Market Value of Central Bank Capital (with Alon Raviv and Ricardo Reis). Teaching Courses (UC Davis): Financial Management of the Firm (ARE171a), undergraduate course Jens D. Hilscher, October 2017, 2 of 5

Courses (Brandeis): Investments (Fin201a), required course for Masters students IBS Prize for Excellence in Teaching 2009 and 2015 Asset Pricing (Fin305f), PhD course Financial Economics (Econ171a), undergraduate course PhD students, first job: Tanseli Savaser, Williams College Vitaliy Vandrovych, State Street Global Advisors Yan (Heidi) Zhao, City College of New York Pavel Bandarchuk (chair), State Street Global Advisors Daniela Kolusheva, Bocconi University Manjola Tase, Federal Reserve Board of Governors Xia Meng, Bates White Economic Consulting Grants, awards, and honors United States-Israel Binational Science Foundation (BSF) Research Grant (2015) Brandeis International Business School Prize for Excellence in Teaching (2015) Eastern Finance Association Outstanding Paper in Corporate Finance (2012) Eastern Finance Association Outstanding Paper in Financial Institutions (2012) Harry M. Markowitz Award Journal of Investment Management Best Paper Award (2011) Research Grant, Oxford-Fidelity Research Alliance (2011) Deutsche Bank Prize in Financial Economics Review of Finance Best Paper Award (2 nd Prize) Brandeis International Business School Prize for Excellence in Teaching (2009) Harvard University pre-dissertation summer fellowship (2001) Sumner Slichter Harvard University GSAS fellowship (2001) Harvard University graduate fellowship (1999-2004) Top 10% of the graduating class, M.Sc. Economics (1999) ESRC Advanced Studentship, M.Sc. Economics (1998) Gerstenberg Prize in Economics, University of London (1998) Raynes Undergraduate Prize in Economics, London School of Economics (1998) Professional activities Invited seminar and conference presentations and discussions: 2017 Western Finance Association Meetings, Whistler, Canada HEC-McGill winter finance workshop, Fernie, Canada (discusscant) 2016 GEA annual conference, DIW Berlin, Germany UC Davis GSM 2015 UC Davis ARE Federal Reserve Bank of San Francisco Santa Clara University McGill University Desmarais Global Finance Research Centre 2014 Financial Management Association Meetings, Nashville Jens D. Hilscher, October 2017, 3 of 5

HEC Montréal 2013 Western Finance Association Meetings, Lake Tahoe (discussant) University of Illinois at Urbana Champaign American Finance Association Meetings, San Diego 2012 Wilfrid Laurier University, Waterloo, Canada European Finance Association Meetings, Copenhagen, Denmark Financial Intermediation Research Society Meetings, Minneapolis Society for Financial Studies Finance Cavalcade, University of Virginia University of South Carolina Fixed Income Conference (discussant) Eastern Finance Association Meetings, Boston (presenter, discussant) 22 nd FDIC Derivatives Securities & Risk Management Conference Journal of Investment Management Spring Conference (discussant) 2011 GEA annual conference, ESMT Berlin, Germany 22 nd Conference on Financial Economics and Accounting, Indiana University (discussant) 10 th C.R.E.D.I.T. conference, Venice, Italy 3 rd Boston Area Finance Symposium, Bentley University Adam Smith Asset Pricing Conference, Oxford University, England (discussant) 2010 CRSP Forum 2010, Chicago Booth 20 th FDIC Derivatives Securities & Risk Management Conference 2009 CEMFI, Madrid, Spain London School of Economics, England University of Zürich, Switzerland Royal Holloway, England Bristol University, England American Finance Association Meetings, San Francisco (discussant) 2008 Financial Management Association Meetings, Dallas (presenter, discussant) 2 nd McGill Risk Management Conference, Mont Tremblant, Canada (discussant) 2007 Financial Management Association Meetings, Orlando (presenter, discussant) European Central Bank, Frankfurt, Germany Western Finance Association Meetings, Big Sky 4 th Credit Risk Conference, Moody s and Copenhagen Business School, Denmark Swiss National Bank, Zürich, Switzerland 7 th Maryland Finance Symposium: Behavioral Finance, University of Maryland Conference on Credit Risk and Credit Derivatives, Federal Reserve Board of Governors 2006 Financial Management Association Meetings, Salt Lake City Money Macro and Finance Research Group Conference, York, UK 3 rd Credit Risk Conference, Moody s and NYU Stern School, New York 2005 Brandeis University Charles River Associates, Boston University of California at Irvine Business School Macalester College Bank for International Settlements Jens D. Hilscher, October 2017, 4 of 5

Oxford University Saïd Business School University of Warwick Business School Federal Reserve Board of Governors 2004 Harvard University PhD Finance seminar Harvard University PhD Macro seminar London Business School PhD Conference Program Committee: Western Finance Association, 2014 - present European Finance Association, 2015 - present Financial Management Association, 2007, 2008 Financial Management Association Napa Conference, 2016 Midwest Finance Association, 2015 - present Member: American Economic Association American Finance Association Western Finance Association European Finance Association Financial Management Association Refereeing: Journal of Finance, Journal of Financial Economics, Review of Financial Studies, Quarterly Journal of Economics, Management Science, Journal of Financial and Quantitative Analysis, Review of Finance, Journal of Corporate Finance, Review of Economics and Statistics, Journal of Monetary Economics, Economics Letters, Journal of Financial Intermediation, Journal of Empirical Finance, Journal of Financial Markets, Journal of International Money and Finance, Financial Management, Journal of Banking and Finance, Journal of Economic Dynamics and Control, American Journal of Agricultural Economics, Journal of the American Statistical Association, Journal of Business Research, Journal of Financial Stability, Journal of Economic Behavior and Organization, Journal of Development Economics, Quantitative Finance, Financial Review, Journal of Credit Risk, Quarterly Review of Economics and Finance, Journal of Applied Economics, Review of Financial Economics, International Journal of Forecasting, Computational Statistics and Data Analysis, Research Grants Council Research experience and other employment 2008-present Kamakura Corporation, Senior Research Fellow 2003 European Central Bank, Intern in the Graduate Research Program 1997, 1998 Chase Manhattan Bank (London), Intern in the Global Trading Division, fixed income derivatives sales Personal information Citizenship: Germany, U.S. Jens D. Hilscher, October 2017, 5 of 5