Alexander Philipov's areas of teaching include investments, derivatives, corporate finance, and financial institutions. He comes to Mason from American University. His research focuses on asset pricing, risk management, and credit risk. His work has appeared (or is forthcoming) in the Journal of Finance, the Journal of Financial Economics, the Journal of Financial and Quantitative Analysis, the Journal of Business and Economic Statistics, the Financial Analysts Journal, and the Econometric Reviews.
Philipov received a PhD in finance from Boston College and an MS in resource economics from the University of Massachusetts. |