Evgenia Mikova
- Associate Professor: Faculty of Economic Sciences / School of Finance
- Evgenia Mikova has been at HSE University since 2009.
- Language Proficiency
- English
- Contacts
- Phone:
+7 (495) 772-95-90
27436 - Address: 11 Pokrovsky Bulvar, Pokrovka Complex, room S630
- ORCID: 0000-0003-0769-4861
- ResearcherID: F-5259-2016
- Scopus AuthorID: 7001345784
- Google Scholar
- Supervisors
- T. Teplova
- I. Ivashkovskaya
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Education and Degrees
2014
Candidate of Sciences* (PhD)2013
Doctoral programme in Finance, Credit and CurrencyHSE University
2010
Master's in EconomicsHSE University
2010
Master's in EconomicsHSE University
2008
Bachelor's in EconomicsHSE University
* Candidate of Sciences
According to the International Standard Classification of Education (ISCED) 2011, Candidate of Sciences belongs to ISCED level 8 - "doctoral or equivalent", together with PhD, DPhil, D.Lit, D.Sc, LL.D, Doctorate or similar. Candidate of Sciences allows its holders to reach the level of the Associate Professor.
According to the International Standard Classification of Education (ISCED) 2011, Candidate of Sciences belongs to ISCED level 8 - "doctoral or equivalent", together with PhD, DPhil, D.Lit, D.Sc, LL.D, Doctorate or similar. Candidate of Sciences allows its holders to reach the level of the Associate Professor.
Continuing education / Professional retraining / Internships / Study abroad experience
course "Financial Accounting: Foundations", University of Illinois at Urbana-Champaign (2020)
Courses (2024/2025)
- Methodological Research Seminar (Master’s programme; Faculty of Economic Sciences field of study Finance and Credit; 1 year, 3, 4 module)Eng
- Methodological Research Seminar (Master’s programme; Faculty of Economic Sciences field of study Finance and Credit; 1 year, 3, 4 module)Eng
- Methodological Research Seminar (Master’s programme; Faculty of Economic Sciences field of study Finance and Credit; 1 year, 3, 4 module)Eng
- Portfolio Management (Master’s programme; Faculty of Economic Sciences field of study Finance and Credit; 1 year, 4 module)Rus
- Portfolio Management (Master’s programme; Faculty of Economic Sciences field of study Finance and Credit; 1 year, 4 module)Rus
- Portfolio Management (Master’s programme; Faculty of Economic Sciences field of study Finance and Credit; 1 year, 4 module)Rus
- Portfolio Management (Mago-Lego; 4 module)Rus
- Theory of Finance (Master’s programme; Faculty of Economic Sciences field of study Finance and Credit; 2 year, 1 module)Rus
- Theory of Finance (Master’s programme; Faculty of Economic Sciences field of study Finance and Credit; 2 year, 1 module)Rus
- Theory of Finance (Mago-Lego; 1 module)Rus
- Theory of Finance (Mago-Lego; 1 module)Eng
- Theory of Finance (Master’s programme; Faculty of Economic Sciences field of study Finance and Credit; 1 year, 1 module)Eng
- Theory of Finance (Master’s programme; Faculty of Economic Sciences field of study Finance and Credit; 1 year, 1 module)Eng
- Past Courses
Courses (2023/2024)
- Methodological Research Seminar (Master’s programme; Faculty of Economic Sciences field of study Finance and Credit, field of study Finance and Credit, field of study Finance and Credit; 1 year, 3, 4 module)Eng
Courses (2022/2023)
- International Finance (Bachelor’s programme; Faculty of Economic Sciences field of study Economics; 4 year, 3 module)Eng
- International Finance (Bachelor’s programme; Faculty of Economic Sciences field of study Economics; 3 year, 3 module)Eng
- International Finance (Master’s programme; Faculty of Economic Sciences field of study Finance and Credit, field of study Finance and Credit, field of study Finance and Credit; 1 year, 1, 2 module)Eng
- International Finance (Mago-Lego; 1, 2 module)Eng
- International Finance (Master’s programme; Faculty of Economic Sciences field of study Economics, field of study Economics, field of study Finance and Credit, field of study Finance and Credit; 2 year, 1, 2 module)Eng
- International Finance (Master’s programme; St Petersburg School of Economics and Management field of study Finance and Credit; 2 year, 1, 2 module)Eng
- Portfolio Management (Master’s programme; Faculty of Economics field of study Finance and Credit; 1 year, 3, 4 module)Rus
- Portfolio Management (Mago-Lego; 3, 4 module)Rus
Courses (2021/2022)
- Corporate Finance (Bachelor’s programme; Faculty of Economic Sciences field of study Economics, field of study Economics; 3 year, 3 module)Eng
- Corporate Finance (Bachelor’s programme; Faculty of Economic Sciences field of study Economics; 4 year, 3 module)Eng
- International Finance (Master’s programme; Faculty of Economic Sciences field of study Finance and Credit, field of study Finance and Credit, field of study Economics; 2 year, 1, 2 module)Eng
- International Finance (Master’s programme; St Petersburg School of Economics and Management field of study Finance and Credit; 2 year, 1, 2 module)Eng
- International Finance (Master’s programme; Faculty of Economic Sciences field of study Finance and Credit; 1 year, 1, 2 module)Eng
- Methodological Research Seminar (Bachelor’s programme; Faculty of Economic Sciences field of study Economics; 4 year, 1 module)Rus
- Portfolio Management (Master’s programme; Faculty of Economics field of study Finance and Credit; 1 year, 3, 4 module)Rus
- Research Seminar: "Finance: Topical Questions and Analytical Tools" (Master’s programme; Faculty of Economics field of study Finance and Credit; 1 year, 1-4 module)Rus
Courses (2020/2021)
- Corporate Finance (Bachelor’s programme; Faculty of Economic Sciences field of study Economics, field of study Economics; 3 year, 3 module)Eng
- Financial Management (Bachelor’s programme; Graduate School of Business field of study Management; 3 year, 1, 2 module)Rus
- Methodological Research Seminar (Bachelor’s programme; Faculty of Economic Sciences field of study Economics; 4 year, 2 module)Rus
- Portfolio Management (Master’s programme; Faculty of Economics, Management, and Business Informatics field of study Finance and Credit; 1 year, 3, 4 module)Rus
- Research Project Seminar (Optional course (faculty); Faculty of Economic Sciences; 1-3 module)Rus
- Research Seminar "Finance: Topical Issues and Analysis Tools" (Master’s programme; Faculty of Economics, Management, and Business Informatics field of study Finance and Credit; 1 year, 1-4 module)Rus
Conferences
- 2014
World Finance & Banking Symposium (Сингапур). Presentation: Momentum effect on the Russian stock market. Whether emerging markets are not profitable for Momentum Strategies
- 2011
Symposium Asian Financial Management (Пекин). Presentation: Pricing assets with systematic and intuitive risk measures: Evidence from the Russian and Kazakhstan stock markets