Sergey K. Shvets
- Professor:HSE Campus in St. Petersburg / St.Petersburg School of Economics and Management / Department of Finance
- Sergey K. Shvets has been at HSE University since 1986.
Education, Degrees and Academic Titles
- 2001Professor
- 1999
Doctor of Sciences* in Economics and National Economy Management
St. Petersburg State University of Economics and Finance - 1971
Degree in Automated Processing of Economic Data
Leningrad Polytechnic Institute
A post-doctoral degree called Doctor of Sciences is given to reflect second advanced research qualifications or higher doctorates in ISCED 2011.
Student Term / Thesis Papers
- Bachelor
A. Gaschenko, The Rating of Financial Stability of Commercial Banks of Russia. St.Petersburg School of Economics and Management, 2019
A. Nekrasova, Risk Appetite Assessment of the Metallurgical Industry of the Russian Federation. St.Petersburg School of Economics and Management, 2019
A. Vaulina, Integrated Assessment of the Effectiveness of Oil and Gas Investment Projects in Russia. St.Petersburg School of Economics and Management, 2019
E. Staroverova, Cash Flow Modeling for Non-Financial Company Using Metrics Corporate Metrics. St.Petersburg School of Economics and Management, 2018
E. Turukhanov, Research of Cryptocurrency Market in Bifurcation Conditions. St.Petersburg School of Economics and Management, 2018
M. Korzun, Analysis of Exposure of Russian Public Non-Financial Companies to Foreign Exchange Rate Movements. St.Petersburg School of Economics and Management, 2018
A. Liusina, An Influence of Exchange Rate Fluctuation on Trade Balance. An Experience of the Russian Federation. St.Petersburg School of Economics and Management, 2018
- Master
N. Bulovich, Comparable Analysis Using CFaR Methodology for the Efficiency of Industries. St.Petersburg School of Economics and Management, 2018
L. Potemka, Metrics of Assessing the Currency Risks of Bank. St.Petersburg School of Economics and Management, 2017
N. Afanaseva, Risk Assessment of Innovation Projects Using Real Options. St.Petersburg School of Economics and Management, 2017
S. Llave colque, Strategic Risk Management Of Oil Company. (An Example Of The Bolivian Oil Fields Corporation). St.Petersburg School of Economics and Management, 2016
M. Savintseva, Modeling Of Integrated Risk Of Telecommunications Company With CorporateMetrics. St.Petersburg School of Economics and Management, 2016
K. Loginova, Aggregated stress-testing of non-financial company’s risks: the case of OJSC Kuzbasskaya Toplivnaya Company. St.Petersburg School of Economics and Management, 2016
A. Churkin, Risk Management of Innovative Projects in Machinery With the use of Real Options . St.Petersburg School of Economics and Management, 2016
D. Bulycheva, Managing Market Risk Of The Commercial Bank Based On VaR-Model. St.Petersburg School of Economics and Management, 2016
K. Tuyanina, Development of economic efficiency of an innovative project (on the example of the project" Integrated technologies of wood processing "). Faculty of Economics , 2014
S. Sokolova, Risk modeling of innovative project using neural technology. Faculty of Economics , 2014
S. Arnaut, The development and implementation of an innovative navigation service on the example of the navigator “Hrgoes!”. Faculty of Economics , 2014
N. Samsonova, Comparative analysis of the methods for evaluating the economic efficiency of innovative projects in the pharmaceutical industry. Faculty of Economics , 2014
S. Shherbakov, Development of organizational-economic mechanism of processes of reengineering at shipyard (for example, Ltd. "Nevsky Shipyard". Faculty of Economics , 2014
Courses (2020/2021)
- Investments (Mago-Lego; 4 module)Rus
- Risk Management (Mago-Lego; 3 module)Rus
- Past Courses
Courses (2019/2020)
- Risk Management (Bachelor’s programme; St.Petersburg School of Economics and Management; 4 year, 1 module)Rus
- Risk Management (Mago-Lego; 3 module)Rus
Courses (2017/2018)
- Financial Technology (Mago-Lego; 3 module)Eng
- Introductory Research Seminar (Bachelor’s programme; St.Petersburg School of Economics and Management; 1 year, 1-4 module)Rus
- Risk Management (Mago-Lego; 4 module)Rus
Courses (2015/2016)
- Corporate Risk Management (Master’s programme; St.Petersburg School of Economics and Management; 2 year, 1, 2 module)Rus
- Research Seminar "Methods for Financial Analytic Research and Models for Financial Management of a Company" (Master’s programme; St.Petersburg School of Economics and Management; 2 year, 1-3 module)Rus
- Risk Management (Mago-Lego; 3 module)Rus