ZAGONOV Maxim
Department: Economics and Finance
CURRICULUM VITAE
Education
- 2011 : PhD in Finance - Cass Business School - Londres
- 2007 : MSc Investment Management - Cass Business School - Londres
Teaching Experience
- From 2012 to 2013 : Visiting professor in Finance - Purdue University - West Lafayette, IN
- Since 2010 : Professor of Economics - Finance Toulouse Business School Toulouse
- From 2009 to 2010 : Visiting lecturer in Econometrics and Financial Markets - Cass Business School - Londres
Management Duties
- 2015 - 2017 : Head of the OP Banking and Financial Markets - Toulouse Business School Toulouse
PUBLICATIONS
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ZAGONOV, M. - "Phd : "Financial intermediation and interest rate risk"" - 2010
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ZAGONOV, M., B. HANKE, "Investor Attention, Lottery Stocks and the Cross-Section of Expected Returns", Economics Bulletin, 2020, vol. 40, no. 1, pp. 18-34 [cnrs: 3]
BUETOW, G. W., B. HANKE, M. ZAGONOV, "Active Management in Defined Contribution Plans", The Journal of Retirement, 2020, vol. 4(61)
BUETOW, G. W., B. HANKE, M. ZAGONOV, "Practical Applications of Active Management in Defined Contribution Plans", Practical Applications, 2020, vol. 8, no. 2, pp. 1.10-4
HANKE, B., A. KESWANI, G. QUIGLEY, D. STOLIN, M. ZAGONOV, "The equal-weight tilt in managed portfolios", Economics Letters, 2019, vol. 182, pp. 59-63 [cnrs: 3, abs: 3]
ZAGONOV, M., G. SALGANIK-SHOSHAN, "CEO Pay Slice as a measure of CEO dominance", Research in International Business and Finance, 2018, vol. Volume 45, pp. 571-576 [cnrs: 4, fnege: 4, abs: 2]
HANKE, B., A. KESWANI, G. QUIGLEY, M. ZAGONOV, "Survivorship bias and comparability of UK open-ended fund databases", Economics Letters, 2018, no. 172, pp. 110-114 [cnrs: 3, abs: 3]
HANKE, B., G. QUIGLEY, D. STOLIN, M. ZAGONOV, "Institutional Trading and Near-Term Stock Returns", Finance, 2018, vol. 39, no. 3, pp. 7-43 [cnrs: 2, fnege: 2]
MAZUR, M., G. SALGANIK-SHOSHAN, M. ZAGONOV, "Comparing performance sensitivity of retail and institutional mutual funds’ investment flows", Finance Research Letters, 2017, vol. 22, pp. 66-73 [cnrs: 3, fnege: 3, abs: 2]
ZAGONOV, M., A. K. PETTINICCHIO, G. SALGANIK-SHOSHAN, "Audit quality, bank risks, and cross-country regulations", Economics Bulletin, 2017, vol. Volume 37,, no. Issue 3 [cnrs: 3]
KESWANI, A., D. STOLIN, M. ZAGONOV, "UK Fund Returns and Sector Diversification", Economics Bulletin, February 2016, vol. 36, no. 1, pp. 10-21 [cnrs: 3]
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HANKE, B., A. KESWANI , G. QUIGLEY , D. STOLIN, M. ZAGONOV, "The Diversification Factor in Mutual Fund Returns" in Research in Behavioral Finance Conference 2018, Amsterdam, 20-21/09/18, 2018
STOLIN, D., M. ZAGONOV, "The Diversification Factor in Mutual Fund Returns" in 24th Annual Conference of the Multinational Finance Society June 25-28, 2017, Bucharest,, Conference of the Multinational Finance Society, 2017, Bucarest
ZAGONOV, M., E. ELYASIANI, "The effect of securitization on bank interest rate exposure" in Asian Finance Association Meeting, June, 2014, Denpasar (Bali), Indonesia
ZAGONOV, M., A. KESWANI, I. MARSH, "Regulation and interest rate exposure" in Asian Finance Association Meeting, June, 2014, Denpasar (Bali), Indonesia
ZAGONOV, M., "Listed real estate and the term structure of interest rate: a cross-country study" in EFA, 2012, Boston, United States of America
ZAGONOV, M., "Securization and Bank Intermediation Function" in Southwestern Finance Association meetings, 2011, Houston, United States of America
ZAGONOV, M., "Securization and Bank Intermediation Function" in Midwest Finance Association annual meeting, 2011, Chicago, United States of America
PETTINICCHIO, A., L. POZZA, A. PROVASOLI, M. ZAGONOV, "Securitization and bank intermediation function" in Financial Management Association, 2011, Denver, United States of America
PETTINICCHIO, A., L. POZZA, A. PROVASOLI, M. ZAGONOV, "Audit quality and bank risk under heterogeneous regulations" in 34th European Accounting Association Annual Congress, 2011, Rome, Italy
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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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- 2011 Best Paper Award in Financial Markets Southwestern Finance Association
- 2010 Financial Intermediaries' interest rate risk Fondation Dimitris N.Chofaras
- 2010 Bank regulation and interest rate risk: an international perspective Financial Management Association
EXPERTISE
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- Bank Risk Management
- Finance
- Portfolio Management
- Corporate Finance
- Bank Risk Management
- Corporate Finance
- Portfolio Management
- Financial Markets
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- Asset Management
- Asset Pricing
- Financial Intermediation
- Asset Pricing
- Asset Management
- Financial Intermediation