CV

Formation

  • 2011 : Doctorat en Finance Cass Business School Londres
  • 2007 : MSc en Finance Cass Business School Londres

Responsabilités Académiques & Managériales

  • 2015 - 2017 : Marchés bancaires et financiers Toulouse Business School Toulouse
  • 2012 - 2013 : professeur visitant en Finance Purdue University West Lafayette, IN
  • 2010 : Professeur Associé en Finance Toulouse Business School Toulouse
  • 2009 - 2010 : Intervenant extérieur en économétrie et marché financier Cass Business School Londres
Publications
    • ZAGONOV, M. - "Phd : "Financial intermediation and interest rate risk"" - 2010

    • 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]

      En savoir plus
    • GARCIA-BLANDON, J., J. M.ARGILES-BOSCH, D.RAVENDA, D.CASTILLO-MERINO, "Auditor-provided tax services and tax avoidance: evidence from Spain", Spanish Journal of Finance and Accounting / Revista Española de Financiación y Contabilidad, 2020, pp. 1-25

      En savoir plus
    • BUETOW, G. W., B.HANKE, M.ZAGONOV, "Active Management in Defined Contribution Plans", The Journal of Retirement, 2020

      En savoir plus
    • 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]

      En savoir plus
    • 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]

      En savoir plus
    • 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]

      En savoir plus
    • 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]

      En savoir plus
    • 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]

      En savoir plus
    • 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]

      En savoir plus
    • KESWANI, A., D.STOLIN, M.ZAGONOV, "UK Fund Returns and Sector Diversification", Economics Bulletin, Février 2016, vol. 36, no. 1, pp. 10-21 [cnrs: 3]

      En savoir plus
    • AKIMOV, A., S.STEVENSON, M.ZAGONOV, "Public real estate and the term structure of interest rates: a cross-country study", Journal of Real Estate Finance and Economics, Novembre 2015, vol. 51, no. 4, pp. 503-540 [cnrs: 3, fnege: 3]

      En savoir plus
    • KALOTYCHOU, E., S. K.STAIKOURAS, M.ZAGONOV, "The UK equity market around the ex-split date", Journal of International Financial Markets, Institutions and Money, Juillet 2009, vol. 19, no. 3, pp. 534-549 [cnrs: 3]

      En savoir plus
    • HANKE, B., A.KESWANI , G.QUIGLEY , D.STOLIN, M.ZAGONOV, "The Diversification Factor in Mutual Fund Returns" Research in Behavioral Finance Conference 2018, Amsterdam, 20-21/09/18. 2018

    • STOLIN, D., M.ZAGONOV, "The Diversification Factor in Mutual Fund Returns" dans 24th Annual Conference of the Multinational Finance Society June 25-28, 2017, Bucharest,., Conference of the Multinational Finance Society, 2017, Bucarest

      En savoir plus
    • ZAGONOV, M., E.ELYASIANI, "The effect of securitization on bank interest rate exposure" Asian Finance Association Meeting. Juin 2014, Denpasar (Bali), Indonésie

      En savoir plus
    • ZAGONOV, M., A.KESWANI, I.MARSH, "Regulation and interest rate exposure" Asian Finance Association Meeting. Juin 2014, Denpasar (Bali), Indonésie

      En savoir plus
    • ZAGONOV, M., "Listed real estate and the term structure of interest rate: a cross-country study" dans EFA., 2012, Boston, Etats-Unis d'Amérique

      En savoir plus
    • ZAGONOV, M., "Securization and Bank Intermediation Function" dans Southwestern Finance Association meetings., 2011, Houston, Etats-Unis d'Amérique

      En savoir plus
    • ZAGONOV, M., "Securization and Bank Intermediation Function" dans Midwest Finance Association annual meeting., 2011, Chicago, Etats-Unis d'Amérique

      En savoir plus
    • PETTINICCHIO, A., L.POZZA, A.PROVASOLI, M.ZAGONOV, "Securitization and bank intermediation function" dans Financial Management Association., 2011, Denver, Etats-Unis d'Amérique

      En savoir plus
    • PETTINICCHIO, A., L.POZZA, A.PROVASOLI, M.ZAGONOV, "Audit quality and bank risk under heterogeneous regulations" dans 34th European Accounting Association Annual Congress., 2011, Rome, Italie

      En savoir plus
    • ZAGONOV, M., A.KESWANI, I.MARSH, "Bank regulations and interest rate risk : An international perspective" dans FMA., 2010, New York, Etats-Unis d'Amérique

      En savoir plus
    • ZAGONOV, M., "Securitization and Bank Intermediation Function" dans 23rd Australasian Finance and Banking Conference., 2010, Sydney, Australie

      En savoir plus
    • 2011 Prix pour le meilleur article en marchés financiers Southwestern Finance Association
    • 2010 Risque de taux d'intérêt des intermédiaries financiers Fondation Dimitris N.Chofaras
    • 2010 Regulation de banque et risque de taux d'intérêt: une perspective internationale Financial Management Association
Expertise
    • Bank Risk Management
    • Finance
    • Portfolio Management
    • Corporate Finance
    • Gestion de risque bancaire
    • Finance d’Entreprise
    • Gestion de portefeuille
    • Marchés Financiers
    • Asset Management
    • Asset Pricing
    • Financial Intermediation
    • Valeurs des actifs
    • Gestion d’Actifs
    • Intermédiation financière
M.zagonov

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