Associate Professor

CURRICULUM VITAE

Education

  • 2019 : PhD in Finance and Business Economics - University of Southern California, Marshall School of Business - Los Angeles
  • 2014 : Master of Science (MSc) in Finance - Université de Neuchatel, Université de Geneve, HEC Lausanne - Neuchatel/Génève/Lausanne
  • 2012 : Bachelor of Business Administration - Vilniaus Gedimino Technikos Universitetas - Vilnius

Teaching Experience

  • Since 2019 : Professor of Economics - Finance Toulouse Business School Toulouse
  • From 2018 to 2018 : Instructor of Macroeconomics for Business - University of Southern California, Marshall School of Business - Los Angeles
PUBLICATIONS
    • BOURJADE, S., A. FRACCARO, D. MELOSO, R. SKRIPNIK, D. STOLIN, "Non-proportional thinking in IPOs", Applied Economics, 2022, pp. 1-9 [cnrs: 2, abs: 2]

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    • SKRIPNIK, R., "Mutual Fund Screening Versus Weighting", Finance, 2022, vol. 44, pp. 64 à 102 [fnege: 2, abs: 1]

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    • SKRIPNIK, R., "Mutual Fund Screening Versus Weighting" in FMA annual meeting, San Diego, 11-13 oct, 2018

    • STOLIN, D., L. CURRAN, A. FRACCARO, J. GRANDHOMME, E. GRAY, G. PRASEUTH, K. SANTRISSE, R. SKRIPNIK, M. ZAGONOV, "Injecting Humor into Educational Videos: How a Business School Collaborated with a Stand-up Comedian" in 6th e-Learning Excellence Awards 2020: An Anthology of Case Histories., Ed., Academic Bookshop, 2020

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EXPERTISE
    • Finance
    • Derivatives
    • Empirical Asset Pricing
    • Portfolio Management
    • Mutual Fund Performance Measurement
Roman Skripnik300x300

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