Vladimir V. Rossokhin
- Associate Professor:HSE Campus in Nizhny Novgorod / Faculty of Economics / Department of Financial Management
- Vladimir V. Rossokhin has been at HSE University since 2008.
Education and Degrees
- 2017
Master's
HSE University - 2005
Candidate of Sciences* (PhD) in Finance, Monetary Circulation and Credit
Lobachevsky State University of Nizhny Novgorod - 1990
Degree
Lobachevskiy Gorky State University - 1990
Degree in Physics
Lobachevskiy Gorky State University, Physical
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.
Student Term / Thesis Papers
- Bachelor
I. Chernova, Assessment of the Probability of Bankruptcy as a Basis for Managing Financial Stability of Airlines. Faculty of Economics, 2020
M. Kudryashova, Assessment of the Risk Premium of Investing in Corporate Bounds. Faculty of Economics, 2020
K. Manasova, Analysis of the Impact of Liquidity on the Subfederal Bonds Yield. Faculty of Economics, 2020
O. Goryacheva, Modeling the Credit Rating of the Company. Faculty of Economics, 2019
A. Poliakova, Analysis of Intellectual Capital Influence on Company Value. Faculty of Economics, 2019
I. Artemova, Financial Assets Volatility Factors. Faculty of Economics, 2019
L. Sakhabutdinova, The Determinants of the Excess Corporate Bond Returns. Faculty of Economics, 2019
A. Kanatova, Analysis of the Determinants of the Day Bid-Ask Spread. Faculty of Economics, 2018
K. Morogova, Bankrupt Probability Assessment Based on Market Approaches. Faculty of Economics, 2018
N. Anisimov, Methods of Formation and Management of the Investment Portfolio of Securities. Faculty of Economics, 2017
D. Klevtsov, The Formation and Management of a Bond Portfolio. Faculty of Economics, 2017
A. Berdinskaia, Dividend Policy Determinants Analysis of Russian Companies. Faculty of Economics, 2016
E. Buylova, Analysis of the Factors, Influencing the Choice of the Financial Sources of Mergers and Acquisitions. Faculty of Economics, 2016
O. Buriakova, Analysis of Determinants Influencing the Zero-coupon Yield Dynamics of Government Bonds. Faculty of Economics, 2016
E. Skvorczov, Evaluation of the effectivness of mergers and acquisitions. Faculty of Economics, 2014
- Master
L. Samarchyan, Factors of Choosing a Source of Debt Financing. Faculty of Economics, 2020
K. Panteleeva, Analysis of the Impact of Corporate Governance on the Dividend Policy of the Company. Faculty of Economics, 2020
E. Makarov, Building a Model for Assessing the Probability of Bankruptcy of Small Businesses. Faculty of Economics, 2020
A. Kanatova, Analysis of the Determinants of Companies` Shares Liquidity. Faculty of Economics, 2020
R. Nurullaev, Analysis of Country Differences in the Capital Structure of Companies in Russia and Uzbekistan. Faculty of Economics, 2019
I. Starkov, Impact of Capital Investments on Company Efficiency Indicators. Faculty of Economics, 2019
M. Smirnov, Analysis of the Impact of Monetary Policy on the Corporate Performance. Faculty of Economics, 2019
N. Obukhova, Assessment of Enterprise Bankruptcy Probability. Faculty of Economics, 2019
V. Prokopenko, Analysis of the Quality of Collective Investment Management from the Perspective of a Private Investor. Faculty of Economics, 2018
E. Buylova, Modeling of the Synthetic Credit Rating of Companies. Faculty of Economics, 2018
M. Trofimova, Rationale for the Determinants of the Systematic Risk of Corporate Bonds. Faculty of Economics, 2017
T. Starichenko, Financial Analysis of Risks of New Product Launch on the Market. Faculty of Economics, 2017
N. Velichko, Determinants Dynamics Analyses of the Net Asset Value of Collective Investment Fund. Faculty of Economics, 2017
D. Kozlova, Analysis of the Bond’s Risk and Return Relationship with the Use of the Capital Asset Pricing Model. Faculty of Economics, 2016
E. Churaeva, The Improvement of the Bond Portfolio Construction Models. Faculty of Economics, 2016
T. Suvorova, Country Risk Accounting in the Forecast of Company’s Discount Rate. Faculty of Economics, 2016
Yu. Smirnova, Modeling and Evaluation a value of derivatives on the example of Russian Federation market. Faculty of Economics, 2014
K. Lazareva, Prior Risk Assessment of Highly Liquid Assets on the Russian Stock Market. Faculty of Economics, 2014
Courses (2020/2021)
- Applied Finance firms (Master’s programme; Faculty of Economics; 1 year, 3, 4 module)Rus
- Corporate Finance (Bachelor’s programme; Faculty of Economics; 3 year, 3, 4 module)Eng
- Financial Risk Management (Master’s programme; Faculty of Economics; 1 year, 3, 4 module)Rus
- Financial strategies of the company and their analysis (Master’s programme; Faculty of Economics; 2 year, 1 module)Rus
- Fundamental and Technical Analysis of the Financial Markets (Bachelor’s programme; Faculty of Economics; 4 year, 3 module)Rus
- Research Seminar "Actual Problems of the Economy and Finance of the Firm" (Master’s programme; Faculty of Economics; 2 year, 1, 2 module)Rus
- Past Courses
Courses (2019/2020)
- Advanced Corporate Finance (Master’s programme; Faculty of Economics; 1 year, 1, 2 module)Rus
- Applied Finance firms (Master’s programme; Faculty of Economics; 1 year, 3, 4 module)Rus
- Corporate Finance (Bachelor’s programme; Faculty of Economics; 3 year, 3, 4 module)Eng
- Financial Risk Management (Master’s programme; Faculty of Economics; 1 year, 3, 4 module)Rus
- Fundamental and Technical Analysis of the Financial Markets (Bachelor’s programme; Faculty of Economics; 4 year, 3 module)Rus
- Research Seminar "The Methodology of Scientific Research in Economics and Finance of the Firm" (Master’s programme; Faculty of Economics; 2 year, 1, 2 module)Rus
Courses (2018/2019)
- Corporate Finance (Bachelor’s programme; Faculty of Economics; 3 year, 3, 4 module)Eng
- Financial Markets Analysis (Master’s programme; Faculty of Economics; 1 year, 3, 4 module)Rus
- Research Seminar "The Methodology of Scientific Research in Economics and Finance of the Firm" (Master’s programme; Faculty of Economics; 1 year, 1-4 module)Rus
Courses (2015/2016)
Corporate Finance (Bachelor’s programme; Faculty of Economics; "World Economy"; field of study "38.03.01. Экономика"; 3 year, 3, 4 module)Eng
- Fundamental and Technical Analysis of the Financial Markets (Bachelor’s programme; Faculty of Economics; 4 year, 3 module)Rus
- Research Seminar (Bachelor’s programme; Faculty of Economics; 4 year, 1-3 module)Rus
- Research Seminar (Bachelor’s programme; Faculty of Economics; 3 year, 2-4 module)Rus
Publications3
- Chapter Krasulina O. Y., Rossokhin V. V., Khazov V. K. Assessment of the state of the socio-economic sphere of the Arctic territories of the world's countries, in: 5th International Conference "Arctic: History and Modernity" 18-19 March 2020, Saint-Petersburg, Russia Vol. 539: IOP Conference Series: Earth and Environmental Science. St. Petersburg : IOP Publishing, 2020. doi P. 1-7. doi
- Article Rossokhin V. V., Ryabova E. The Choice Between Public and Private Debt by Russian Companies at Different Stages of the Life Cycle // Journal of Corporate Finance Research. 2020. Vol. 14. No. 1. P. 20-28. doi
- Chapter Krasulina O. Y., Rossokhin V. V., Krepkaia T. N., Rubtsova A. V. Assessment of the probability of the Arctic Council expansion, in: IOP Conference Series: Earth and Environmental Science Vol. 302: 4th International Scientific Conference "Arctic: History and Modernity" 17–18 April 2019, Saint Petersburg, Russian Federation. IOP Publishing, 2019. doi P. 1-7. doi
Employment history
Working in the financial and investment companies since 1994.
Trading on the stock market since the summer, 1994.
Teaching in the Higher School of Economics - Nizhny Novgorod since 2006 in combination and since 2008 on an ongoing basis.
International Conference Presentation
Decision-making Psychology on Financial Markets. Rossohin V.V., Rylkin A.Y., and Vlasova J.A.
Courses
- Corporate Finance - Undergraduate level, Faculty of Economics (Nizhny Novgorod campus); 3rd year; Blocks 1, 2