Alexander Barinov

School
Bio

Alexander Barinov received his PhD in Finance from University of Rochester in 2008 and spent seven years as an Assistant Professor of Finance at University of Georgia before joining University of California Riverside in 2015. His main research interest lies in the area of empirical asset pricing. His papers appeared, among other journals, in Management Science, Journal of Financial and Quantitative Analysis, and Journal of Financial Markets. His work covers volatility and volatility risk, asset-pricing anomalies, market microstructure, and securities issuance.