Artem Anilov
- Associate Professor:Faculty of Economic Sciences / School of Finance
- Artem Anilov has been at HSE University since 2016.
Responsibilities
Teaching courses to students of Strategic Corporate Finance and Corporate Finance Master's programmes
Preparing content for online courses
Education and Degrees
- 2021
Candidate of Sciences* (PhD)
HSE University - 2018
Doctoral programme
HSE University - 2015
Master's
HSE University - 2013
Bachelor's in Economics
Tyumen State University
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.
Courses (2023/2024)
Sustainable Finance (Master’s programme; Faculty of Economic Sciences; field of study "38.04.08. Финансы и кредит", field of study "38.04.08. Финансы и кредит", field of study "38.04.08. Финансы и кредит", field of study "38.04.08. Финансы и кредит"; 2 year, 2 module)Eng
- Sustainable Finance (Mago-Lego; 2 module)Eng
- Past Courses
Courses (2022/2023)
- Behavioral Finance (Master’s programme; Faculty of Economic Sciences; 1 year, 1, 2 module)Eng
- Behavioral Finance (Master’s programme; Faculty of Economic Sciences; 2 year, 1, 2 module)Eng
- Behavioral Finance:Applications in Business Analytics (Master’s programme; Faculty of Economic Sciences; 2 year, 3 module)Eng
- ESG company transformation (Master’s programme; Faculty of Economic Sciences; 2 year, 2 module)Rus
- Principles of Corporate Finance (Master’s programme; Faculty of Economic Sciences; 1 year, 1, 2 module)Rus
- Sustainable Finance (Master’s programme; Faculty of Economic Sciences; 2 year, 2 module)Eng
- Sustainable Finance (Master’s programme; Faculty of Economic Sciences; 1 year, 3 module)Eng
Value Based Management (Master’s programme; Faculty of Economic Sciences; field of study "38.04.08. Финансы и кредит", field of study "38.04.08. Финансы и кредит"; 1 year, 3 module)Rus
Courses (2021/2022)
- Behavioral Finance (Master’s programme; Faculty of Economic Sciences; 2 year, 1, 2 module)Eng
- Behavioral Finance (Master’s programme; Faculty of Economic Sciences; 1 year, 1, 2 module)Eng
- Fundamentals of Corporate Finance (Master’s programme; Faculty of Social Sciences; 2 year, 2 module)Rus
- Principles of Corporate Finance (Master’s programme; Faculty of Economic Sciences; 1 year, 1-3 module)Rus
- Research Seminar 'Corporate Finance' (Master’s programme; Faculty of Economic Sciences; 1 year, 1-4 module)Rus
- Sustainable Finance (Master’s programme; Faculty of Economic Sciences; 1 year, 4 module)Eng
- Value Based Management (Master’s programme; Faculty of Economic Sciences; 1 year, 4 module)Rus
Courses (2020/2021)
- Behavioral Finance (Master’s programme; Faculty of Economic Sciences; 2 year, 1, 2 module)Eng
- Behavioral Finance (Master’s programme; Faculty of Economic Sciences; 1 year, 1, 2 module)Eng
- Research Project Seminar (Optional course (faculty); Faculty of Economic Sciences; 1-3 module)Rus
Courses (2019/2020)
- Behavioral Finance (Master’s programme; Faculty of Economic Sciences; 2 year, 1, 2 module)Eng
- Behavioral Finance (Master’s programme; Faculty of Economic Sciences; 1 year, 1, 2 module)Eng
- Research Seminar "Empirical Corporate Finance 2" (Master’s programme; Faculty of Economic Sciences; 1 year, 3, 4 module)Eng
Publications5
- Article Anilov A., Ivashkovskaya I. Do boards of directors affect CEO behavior? Evidence from payout decisions // Journal of Management and Governance. 2020. No. 24. P. 989-1017. doi
- Article Anilov A. Do Overconfident CEOs Pay More to Shareholders? Evidence from the US Market // Journal of Corporate Finance Research. 2019. Vol. 13. No. 2. P. 25-35. doi
- Article Anilov A. Behavioral aspects of decision-making on payments to owners: review of studies // Journal of Corporate Finance Research. 2017. Vol. 14. No. 4. P. 67-86. doi
- Article Anilov A., Pirogov N. Interrelation Between Payout and Financing Decisions: Evidence from Emerging Markets // Journal of Corporate Finance Research. 2016. No. 2 (38). P. 38-50.
- Article Anilov Artem, Alexandrov M., Grafov Denis, Lukyanov A. Risk-assessment model in LUKOIL // Journal of Corporate Finance Research. 2014. No. 2. P. 77-90.
Employment history
2014 - 2018 - economist, LUKOIL-Trans llc
2018 - present - senior manager, PJSC LUKOIL
2019 - present - senior lecturer, School of finance, HSE (part-time)
We congratulate Artem Anilov, postgraduate student and senior lecturer at the School of Finance, on the brilliant defense of his Ph.D. thesis!
Dissertation topic: "MANAGERIAL COMPENSATION, OVERCONFIDENCE AND PAYOUT POLICY"
Applicant - Anilov Artyom
Academic Supervisor - Ivashkovskaya Irina
“Best paper award” at EIASM conference
On November 5-6, the 15th EIASM Conference on “Corporate Governance” took place in Brussels. Representatives of more than 15 countries came to the capital of Belgium to present their research projects and discuss new trends in the field of corporate finance.