Oleg Komarov

 

 


 

Oleg is a PhD candidate in Financial Economics at Imperial College Business School. His research activities are mainly focused on empirical asset pricing in high-frequency markets and big-data solutions for financial econometrics.

Oleg holds a BSc in Financial Economics, Finance and Economics from LUISS Guido Carli University and an MSc in Finance and Economics from Warwick Business School.




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Oct 17th 2016

Discover how to use fundamental finance tools in both management and MBA learning contexts and understand common financial situations faced in everyday life.

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