Dmitrii Vyacheslavovich Timofeev
- Senior Lecturer:Faculty of Economic Sciences / School of Finance
- Dmitrii Vyacheslavovich Timofeev has been at HSE University since 2004.
Continuing education / Professional retraining / Internships / Study abroad experience
2010:InternationalSummer School of Bremerhaven(Germany),""
2014: Summer School "Structural Estimation in Corporate Finance", Center for Monetary and Financial Studies, Madrid, Spain
Scientific interests
Financial markets, and monetary economics. Factor investing and expected returns. Exchange rate determination. Petrolium and commodity markets. Discounted cash flow models. Corporate financial statement analysis. Efficient market hypothesis. New institutional economics.
Courses (2023/2024)
- Financial Markets Behavior (Master’s programme; Faculty of Economic Sciences; 2 year, 1, 2 module)Rus
- Macroeconomics (advanced level) (offered in English) (Master’s programme; Faculty of Economics; 1 year, 1, 2 module)Eng
- Past Courses
Courses (2022/2023)
- Financial Markets Behavior (Master’s programme; Faculty of Economic Sciences; 2 year, 1, 2 module)Rus
- Macroeconomics (Advanced Level) (Master’s programme; Faculty of Economics; 1 year, 1, 2 module)Eng
- Master's Thesis Pre-defence (Master’s programme; Faculty of Economic Sciences; 2 year, 4 module)Eng
Courses (2021/2022)
- Financial Markets Behavior (Master’s programme; Faculty of Economic Sciences; 2 year, 1, 2 module)Rus
- Macroeconomics (advanced level) (offered in English) (Master’s programme; Faculty of Economics; 1 year, 1, 2 module)Eng
Courses (2020/2021)
- Advanced Macroeconomics (Master’s programme; Faculty of Economics, Management, and Business Informatics; 1 year, 1, 2 module)Eng
- Financial Markets Behavior (Master’s programme; Faculty of Economic Sciences; 2 year, 1, 2 module)Rus
- Исследовательский проектный семинар (НИС) (Optional course (faculty); Faculty of Economic Sciences; 1-3 module)Rus
Courses (2019/2020)
- Financial Markets Behavior (Master’s programme; Faculty of Economic Sciences; 2 year, 1-3 module)Rus
- Research Seminar "Fundraising and Institutional Issues" (Master’s programme; Faculty of Economic Sciences; 2 year, 1-3 module)Eng
Courses (2018/2019)
Research Seminar "Financial Markets and Financial Institutions 2" (Master’s programme; Faculty of Economic Sciences; 1 year, 1-4 module)Rus
Publications9
- Preprint Timofeev D. V. Non-Keynesian savings of Russians / National Research University Higher School of Economics. Series WP BRP "Basic research program". 2015. No. 20.
- Article Тимофеев Д. В. Моделирование суверенной премии за риск на развивающихся рынках капитала // Корпоративные финансы. 2015. № 2(34). С. 54-74.
- Article Тимофеев Д. В. S&P 500: новый пузырь? // Финансовая аналитика: проблемы и решения. 2014. № 22(208). С. 47-58.
- Article Тимофеев Д. В. Розничный forex: бесполезная и дорогая лотерея // Аудит и финансовый анализ. 2014. № 6. С. 385-394.
- Article Тимофеев Д. В. Цены российских банков перед кризисом 2008 г.: пузырь или реальный опцион?. // Финансовая аналитика: проблемы и решения. 2014. № 11(197). С. 48-58.
- Article Тимофеев Д. В. Будет ли в России рост ВВП «на пять с плюсом»? // Управление корпоративными финансами. 2013. № 3 (57)
- Article Тимофеев Д. В. Стоимость банков России перед кризисом 2008 г.: был ли пузырь? // Управление корпоративными финансами. 2013. № 4 (58). С. 210-232.
- Article Тимофеев Д. В. Оценка сбербанка-DIY (DO IT YOURSELF) // Рынок ценных бумаг. 2008. № 10 (361). С. 58-63.
Employment history
- 1995 - 2016, Programmer, Financial analyst, Head of researsch dept., Head of asset management in PFIG group of companies (Permskaya fondovaya kompania, Parma-management)
- 2016 -2018, Deputy Director of the Department for Budget Policy and Strategic Planning of the Ministry of Finance of the Russian Federation
- 2018–till now Director of the Department for External Restrictions Control of the Ministry of Finance of the Russian Federation