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Ilia Kuchin Ilia Kuchin has been at HSE University since 2015.
Education and Degrees 2019
Candidate of Sciences
* (PhD)
2017
Doctoral programme
HSE University
2014
Master's in Economics
HSE University
* Candidate of Sciences
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.
Continuing education / Professional retraining / Internships / Study abroad experience -2018 «Python programming for data collection and analysis», HSE
-2017 «Microsoft Excel 2016/2013. Level 4. VBA Programming», 36 h., certificate at Bauman MSTU
-2017 «Advanced VBA programming», 24 h., certificate at Bauman MSTU
Awards and Accomplishments Young Faculty Support Programme (Group of Young Academic Professionals) Category "New Researchers" (2019–2020) Courses (2025/2026) Corporate Risk Management (Master’s programme; Faculty of Economic Sciences field of study Finance and Credit; 1 year, 4 module)Eng Corporate Risk Management (Master’s programme; Faculty of Economic Sciences field of study Finance and Credit; 1 year, 4 module)Eng Corporate Risk Management (Master’s programme; Faculty of Economic Sciences field of study Finance and Credit; 1 year, 4 module)Eng Corporate Risk Management (Mago-Lego; Faculty of Economic Sciences ; 4 module)Eng Financial Instruments (Master’s programme; Faculty of Economic Sciences field of study Finance and Credit; 1 year, 1, 2 module)Rus Financial Instruments (Master’s programme; Faculty of Economic Sciences field of study Finance and Credit; 1 year, 1, 2 module)Rus Financial Instruments (Mago-Lego; Faculty of Economic Sciences ; 1, 2 module)Rus Risk Management (Mago-Lego; Faculty of Economic Sciences ; 1, 2 module)Rus Risk Management (Bachelor’s programme; Faculty of Economic Sciences field of study Economics; 4 year, 1, 2 module)Rus Risk Management (Bachelor’s programme; Faculty of Economic Sciences field of study Economics, Management; 4 year, 1, 2 module)Rus Risk Management (Bachelor’s programme; Faculty of Economic Sciences field of study Economics, Management; 4 year, 1, 2 module)Rus Risk Management (Bachelor’s programme; Faculty of Economic Sciences field of study Economics; 4 year, 1, 2 module)Rus Risk Management (Optional course (faculty); Faculty of Economic Sciences ; 1, 2 module)Rus Risk Management (Master’s programme; Faculty of Economic Sciences field of study Finance and Credit; 2 year, 1, 2 module)Rus Risk Management (Master’s programme; Faculty of Economic Sciences field of study Finance and Credit; 2 year, 1, 2 module)Rus Risk Management (Master’s programme; Faculty of Economic Sciences field of study Finance and Credit; 2 year, 1, 2 module)Rus Risk Management (Bachelor’s programme; Faculty of Economic Sciences field of study Economics; 4 year, 1, 2 module)Rus Theory of Finance (Mago-Lego; Faculty of Economic Sciences ; 3 module)Rus Theory of Finance (Master’s programme; Faculty of Economic Sciences field of study Finance and Credit; 2 year, 3 module)Rus Theory of Finance (Master’s programme; Faculty of Economic Sciences field of study Finance and Credit; 2 year, 3 module)Rus Theory of Finance (Master’s programme; Faculty of Economic Sciences field of study Finance and Credit; 1 year, 1, 2 module)Rus Theory of Finance (Master’s programme; Faculty of Economic Sciences field of study Finance and Credit; 1 year, 1, 2 module)Rus Theory of Finance (Mago-Lego; Faculty of Economic Sciences ; 1, 2 module)Rus Past Courses Courses (2024/2025) Corporate Risk Management (Master’s programme; Faculty of Economic Sciences field of study Finance and Credit; 1 year, 4 module)Eng Corporate Risk Management (Master’s programme; Faculty of Economic Sciences field of study Finance and Credit; 1 year, 4 module)Eng Corporate Risk Management (Master’s programme; Faculty of Economic Sciences field of study Finance and Credit; 1 year, 4 module)Eng Corporate Risk Management (Mago-Lego; 4 module)Rus Financial Instruments (Master field of study Finance and Credit; 1 year, 1 module)Rus Financial Instruments (Master field of study Finance and Credit; 1 year, 1 module)Rus Financial Instruments (Mago-Lego; 1 module)Rus Risk Management (Master’s programme; Faculty of Economic Sciences field of study Finance and Credit; 2 year, 1, 2 module)Rus Risk Management (Master’s programme; Faculty of Economic Sciences field of study Finance and Credit; 2 year, 1, 2 module)Rus Risk Management (Bachelor’s programme; Faculty of Economic Sciences field of study Economics; 4 year, 1, 2 module)Rus Risk Management (Bachelor’s programme; Faculty of Economic Sciences field of study Economics; 4 year, 1, 2 module)Rus Risk Management (Bachelor’s programme; Faculty of Management field of study Economics; 4 year, 1, 2 module)Rus Risk Management (Mago-Lego; 1, 2 module)Rus Dissertation for a Candidate of Sciences degree
Conferences 2018
5th GSOM Emerging Markets Conference (Санкт-Петербург). Presentation: The Impact of Currency Risk on Firm's Value in Emerging Countries
• National Research University- Higher School of Economics, Analytics for Management and Economics Conference (AMEC-2018), Saint Petersburg, Russia (Saint Petersburg). Presentation: The Impact of Currency Risk on Cost of Equity in Emerging Countries