Dr. Anastasios Maligkris
Angestellt, Head of IFRS9 and Managerial Models Team, HypoVereinsbank – UniCredit - Deutschland
Abschluss: Ph.D., University of Warwick
Munich, Deutschland
Werdegang
Berufserfahrung von Anastasios Maligkris
Bis heute 5 Jahre und 5 Monate, seit Feb. 2019
Head of IFRS9 and Managerial Models Team
HypoVereinsbank – UniCredit - Deutschland2 Jahre und 1 Monat, Aug. 2016 - Aug. 2018
Visiting Assistant Professor of Finance
University of MiamiModule Leader: Intermediate Financial Management (FIN303-Undergraduate) 2017 Investment and Security Markets (FIN320-Undergraduate) 2017 Intermediate Financial Management (FIN303-Undergraduate) 2016 Research - Working Papers Political Speeches and Stock Market Outcomes Terrorist Attacks, Analyst Sentiment, and Earnings Forecasts (co-author) Terrorist Attacks, Managerial Sentiment, and Corporate Policies (co-author) Institutional Investors, Sentiment, and Stock Market (co-author)
3 Jahre, Jan. 2013 - Dez. 2015
Seminar Tutor
University of Warwick
Corporate Finance (IB92C0 & IB9Y70 - Postgraduate Course), Investment Management taught in MATLAB (IB9490-Postgraduate Course), M&As and Corporate Control (Matlab - IB9X90-Postgraduate Course), Financial Management (IB1140-Undergraduate Course), Mergers and Acquisitions (IB3H70-Undergraduate Course)
8 Monate, März 2010 - Okt. 2010
Financial Analyst
Eurobank EFG
Dealt with treasury securities and loans Analysed financial reports and presented to senior management Collaborated with multi cross-functional teams and partners
11 Monate, Sep. 2009 - Juli 2010
Assistant in Computer Center
University of Macedonia, Greece
IT Support
4 Monate, Sep. 2008 - Dez. 2008
Research assistant
University of Macedonia - Investigatory University Institute of Applied Sciences
Conducting interviews for election polls Empirical analysis of the collected data
Ausbildung von Anastasios Maligkris
1 Monat, Aug. 2015 - Aug. 2015
Behavioral Finance
University of Yale - Summer School
Ph.D Summer School in Behavioural Finance
4 Jahre, Okt. 2012 - Sep. 2016
Finance
University of Warwick
Behavioural Finance, Financial Management, Investment and Security Markets, Quantitative Methods, Econometric Analysis
9 Monate, Okt. 2011 - Juni 2012
Finance
University of Cambridge
Corporate Finance, Quantitative Methods, Asset Pricing
4 Jahre und 2 Monate, Okt. 2006 - Nov. 2010
Economics
University of Macedonia, Greece
Macro-Economics, Micro-Economics, Econometrics, Quantitative Methods, Statistics, Finance, Financial Investments
Sprachen
Englisch
Fließend
Griechisch
Muttersprache
Deutsch
Grundlagen
Italienisch
Grundlagen