Alexander Barinov
Terry College of Business
- Assistant Professor
Education
| Degree | Field of Study | Institution | Graduation Year |
|---|---|---|---|
| PhD | Finance | University of Rochester |
2008 |
| MS | Finance | University of Rochester |
2006 |
| MA | Economics | New Economic School |
2003 |
| BA | Economics | Moscow State University |
2002 |
Research Interests
- Empirical Asset Pricing
Areas of Expertise
- Financial Markets
- Empirical Asset Pricing
- Capital Markets Research in Accounting
Awards
| Award Name | Awarded By | Year Awarded |
|---|---|---|
| Beta Gamma Sigma | University of Rochester |
2008 |
| Cum Laude Graduation | New Economic School |
2003 |
| Summa Cum Laude Graduation | Moscow State University |
2002 |
Selected Publications
Journal Articles
- . 2012. Analyst Disagreement and Aggregate Volatility Risk. Journal Of Financial & Quantitative Analysis, forthcoming.
- . 2012. Aggregate Volatility Risk: Explaining the Small Growth Anomaly and the New Issues Puzzle. Journal Of Corporate Finance, 18(4): 763-781.
Working Papers
- . 2011. Idiosyncratic Volatility, Growth Options, and the Cross-Section of Returns. Working Paper.
- . 2011. Turnover: Liquidity or Uncertainty?. Working Paper.
- . 2012. Short Interest and Aggregate Volatility Risk. Working Paper.
