Yulia TITOVA

Yulia TITOVA
Assistant Professor
Ph.D. in Economics - University of Paris I Panthéon-Sorbonne
Academic Director
Filière : Finance
Formation
  • 2013 : Ph.D. in Economics, University of Paris I Panthéon-Sorbonne, France
  • 2008 : Master, Economy, Finance, National Research University - Higher School of Economics, Russia
  • 2008 : Master, Economy, Finance, University of Paris I Panthéon-Sorbonne, France
Expériences Professionnelles
Expérience académique :
  • 2013 - maintenant, Assistant Professor of Finance, IÉSEG School of Management, , France
  • 2013 - 2013, Adjunct professor of finance, Paris School of International Affairs (Sciences Po Paris), ,
  • 2012 - 2013, Assistant Professor of Finance, European Business School, Paris, France
Expérience en entreprise :
  • 2012 - 2013, CFA Instructor, Top Finance, , France
  • 2010 - 2010, Intern in fundamental analysis (Convertible Bonds Department), Exane Derivatives, Paris, France
  • 2009 - 2010, M&A Intern, JP Morgan London, London, United Kingdom
  • 2007 - 2008, Reporting assistant, KMPG, Moscow, Russia
Articles publiés dans des revues à comité de lecture
  • Cornea D., Titova Y., Le Roy J., (2021). Caring for Survivors: Do CSR policies Matter for Post-Layoff Employee Performance?, Business Ethics: A European Review, 1 (1) 1-1.
  • Titova Y., Cornea Delia, Lemeunier Sébastien, (2021). What factors keep cash alive in the European Union?, De Economist, 1 (1) 1-1.
  • Titova Y., Penikas Genrih, Gomayun Nikita, (2020). The impact of hedging and trading derivatives on value, performance and risk of European banks, Empirical Economics, 58 (2) 535-565.
Afficher tout
  • Joliet R., Titova Y., (2018). Equity SRI funds vacillate between ethics and money: an analysis of the funds' stock holding decisions, Journal of Banking & Finance, 97 70-86.
  • Titova Y., (2016). Are board characteristics relevant for banking efficiency? Evidence from the US , Corporate Governance: The International Journal of Business in Society, 16 (4) 655-679.
Domaine de Recherche
  • Financial institutions, derivatives, financial regulations, banking efficiency
Enseignement
Programme Grande Ecole :
  • Firm valuation
  • Corporate finance
  • Coaching cfa level i
MSc in Finance :
  • Financial markets
  • Bloomberg certification
Post graduate program :
  • Quantitative methods