Maria Shchepeleva
- Assistant Professor:Faculty of Economic Sciences / Department of Theoretical Economics
- Research Fellow:Faculty of Economic Sciences / Laboratory of Financial Innovation and Risk Management
- Maria Shchepeleva has been at HSE University since 2017.
Education and Degrees
- 2016
Candidate of Sciences* (PhD)
- 2014
Master's in Economics
Moscow State Institute of International Relations (University) - 2012
Degree
Moscow State Institute of International Relations (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)
Financial Stability and Financial Crises (Bachelor’s programme; Faculty of Economic Sciences; field of study "38.03.01. Экономика", field of study "38.03.01. Экономика"; 4 year, 2 module)Eng
- Financial Stability and Financial Crises (Bachelor’s programme; Faculty of Economic Sciences; 3 year, 2 module)Eng
- Macroeconomics (Bachelor’s programme; Graduate School of Business; 1 year, 3, 4 module)Eng
Topical Issues in Financial Economics (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"; 1 year, 3 module)Eng
- Past Courses
Courses (2022/2023)
Financial Stability and Financial Crises (Bachelor’s programme; Faculty of Economic Sciences; field of study "38.03.01. Экономика", field of study "38.03.01. Экономика"; 4 year, 3 module)Eng
- Financial Stability and Financial Crises (Bachelor’s programme; Faculty of Economic Sciences; 3 year, 3 module)Eng
- Macroeconomics (Bachelor’s programme; Graduate School of Business; 1 year, 3, 4 module)Eng
Topical Issues in Financial Economics (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)Eng
Courses (2021/2022)
- Economics (Bachelor’s programme; Faculty of Law; 1 year, 3, 4 module)Rus
- Economics (Bachelor’s programme; Faculty of Creative Industries; 1 year, 1, 2 module)Rus
- Financial Stability and Financial Crises (Bachelor’s programme; Faculty of Economic Sciences; 4 year, 3 module)Eng
- Financial Stability and Financial Crises (Bachelor’s programme; Faculty of Economic Sciences; 3 year, 3 module)Eng
- Topical Issues in Financial Economics (Master’s programme; Faculty of Economic Sciences; 1 year, 3 module)Eng
Courses (2020/2021)
- Economics (Bachelor’s programme; Faculty of Law; 1 year, 3, 4 module)Rus
- Исследовательский проектный семинар (НИС) (Optional course (faculty); Faculty of Economic Sciences; 1-3 module)Rus
- Theory of Finance (Master’s programme; Faculty of Economic Sciences; 1 year, 3 module)Eng
Courses (2018/2019)
- Introduction to Economics (Bachelor’s programme; Faculty of Creative Industries; 1 year, 3, 4 module)Rus
- Macroeconomics (Minor; Faculty of Economic Sciences; 3, 4 module)Rus
- Research Seminar (2nd year) (Bachelor’s programme; Faculty of Economic Sciences; 2 year, 1, 3, 4 module)Rus
- Research Seminar "Financial Markets and Financial Institutions 2" (Master’s programme; Faculty of Economic Sciences; 1 year, 1-4 module)Rus
- Theory of Finance (Master’s programme; Faculty of Economic Sciences; 1 year, 3 module)Rus
Courses (2017/2018)
- Economic Theory (Bachelor’s programme; Faculty of Social Sciences; 1 year, 3, 4 module)Rus
- Macroeconomics 1 (Bachelor’s programme; Faculty of World Economy and International Affairs; 1 year, 3, 4 module)Rus
Publications25
- Article Shchepeleva M., Stolbov M. Carbon footprints of lending and bank performance: international evidence from panel data // Environmental Science and Pollution Research. 2023. P. 1-12.
- Article Shchepeleva M., Stolbov M. Does one size fit all? Comparing the determinants of the FinTech market segments expansion // Journal of Finance and Data Science. 2023. Vol. 9. No. 100095. Article 100095. doi
- Article Shchepeleva M., Stolbov M. Sentiment-based indicators of real estate market stress and systemic risk: international evidence // Annals of Finance. 2023. P. 1-28.
- Chapter Stolbov M., Shchepeleva M. The Interaction among Financial Development, Macroprudential Policy and Economic Growth, in: The Routledge Handbook of Comparative Economic Systems. Routledge, 2023. doi P. 664-675. doi
- Article Щепелева М. А., Дзюба С. А., Тишковец В. С. Трансмиссия системного риска между банковскими системами стран Азиатско-Тихоокеанского региона и России // Финансы: теория и практика. 2023. Т. 27. № 5. С. 182-194. doi
- Article Shchepeleva M., Stolbov M., Weill L. Has the Global Financial Crisis increased wealth inequality? // International Economics. 2022. Vol. 169. P. 148-160. doi
- Article Stolbov M., Shchepeleva M. In Search of Global Determinants of National Credit-to-GDP Gaps // Risks. 2022. Vol. 10. No. 12 doi
- Article Stolbov M., Shchepeleva M. Modeling global real economic activity: Evidence from variable selection across quantiles // Journal of Economic Asymmetries. 2022. Vol. 25. Article e00238. doi
- Article Caporin M., Stolbov M., Shchepeleva M. What drives the expansion of research on banking crises? Cross-country evidence // Applied Economics. 2022 doi
- Article Stolbov M., Shchepeleva M., Karminsky A. M. When central bank research meets Google search: A sentiment index of global financial stress // Journal of International Financial Markets, Institutions and Money. 2022. Vol. 81. Article 101692. doi
- Article Столбов М. И., Щепелева М. А. Влияние ESG-факторов на финансовую стабильность // Вопросы экономики. 2022. № 11. С. 136-148. doi
- Chapter Щепелева М. А. Прогнозирование и модельный аппарат в деятельности центральных банков // В кн.: Прикладная макроэкономика: модели и инструменты регулирования / Науч. ред.: М. В. Сафрончук. М. : Издательский дом "Научная библиотека", 2022. Гл. 9. С. 243-273.
- Article Stolbov M. I., Shchepeleva M., Karminsky A. M. A global perspective on macroprudential policy interaction with systemic risk, real economic activity, and monetary intervention // Financial Innovation. 2021. Vol. 7. No. 1. Article 41. doi
- Article Stolbov M., Shchepeleva M., Uddin G. S. Does global financial cycle drive systemic risk? // Economics Bulletin. 2021. Vol. 41. No. 4. P. 2320-2329.
- Article Stolbov M., Shchepeleva M. Macrofinancial linkages in Europe: Evidence from quantile local projections // International Journal of Finance and Economics. 2021. Vol. 26. No. 4. P. 5557-5569. doi
- Article Stolbov M., Shchepeleva Maria Systemic risk, economic policy uncertainty and firm bankruptcies: Evidence from multivariate causal inference // Research in International Business and Finance. 2020. Т. 52. С. 101172. doi
- Article Stolbov M., Shchepeleva M. What predicts the legal status of cryptocurrencies? // Economic Analysis and Policy. 2020. Vol. 67. P. 273-291. doi
- Article Щепелева М. А. Эмпирический анализ балансового канала денежно-кредитной трансмиссии для России // Научно-исследовательский финансовый институт. Финансовый журнал. 2020. Т. 12. № 2. С. 39-56. doi
- Article Столбов М. И., Karminsky A. M., Shchepeleva M. Does Economic Policy Uncertainty Lead Systemic Risk? A Comparative Analysis of Selected European Countries // Comparative Economic Studies. 2018. Vol. 60. No. 3. P. 332-360. doi
- Article Stolbov M., Shchepeleva M. Systemic Risk in Europe: deciphering leading measures, common patterns and real effects // Annals of Finance. 2018. Vol. 14. No. 1. P. 49-91. doi
- Book Карминский А. М., Столбов М. И., Щепелева М. А. Системный риск финансового сектора: оценка и регулирование. Издательский дом "Научная библиотека", 2017.
- Article Щепелева М. А. Финансовое заражение: трансграничное распространение системного риска // Мировая экономика и международные отношения. 2017. Т. 61. № 1. С. 17-28. doi
- Article Столбов М. И., Shchepeleva M. Financial Stress in Emerging Markets: Patterns, Real Effects, and Cross-country spillovers // Review of Development Finance. 2016. Vol. 6. No. 1. P. 71-81. doi
- Article Щепелева М. А. Взаимосвязь корпоративного управления и финансовых рисков: обзор эмпирических исследований // Управление финансовыми рисками. 2016. № 1. С. 2-11.
- Article Щепелева М. А. Эмпирическая оценка системного риска: межстрановой подход // Контроллинг. 2015. Т. 4. № 58. С. 26-34.
Summarizing Section E. Financial Institutions, Markets and Payment Systems
Authors of various research papers presented their topics where discussants provided feedback - 20th April International Academic Conference on Economic and Social Development