Greetings 🖖. I am a top-down research analyst focused on economic/investment strategy and country risk. I practice multidisciplinary approach and use insights from macroeconomics, finance, political science, behavioral economics, and history to make sense of today’s world and formulate testable hypotheses as of where it is heading next.
I have experience in investment strategy, asset management, financial markets research, and economic strategy research focused on the structural reforms in Emerging Markets.
Beyond private sector, I conduct academic research in Behavioral Economics/Finance and teach various finance courses at Tallinn University of Technology (TalTech).
MPA in International Finance, Data Analytics and Quantitative Analysis, 2020-2022
Columbia University, SIPA (New York, United States)
PhD in Financial Economics (Behavioral Economics/Finance), 2015-2022
TalTech - Tallinn University of Technology (Tallinn, Estonia)
MS in Finance, 2008-2009
Kyiv National Economic University (Kyiv, Ukraine)
BS in Finance, 2003-2003
Kyiv National Economic University (Kyiv, Ukraine)