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Regular version of the site
Contacts

119049 Moscow, Russia
11 Pokrovskiy boulevard, room S629

Phone:

+7 (495) 772-95-90*27447, *27947, *27190
+7 (495) 916-88-08 (Master’s Programme Corporate Finance)

- Email: df@hse.ru

finance@hse.ru 

Administration
Head of the School Irina Ivashkovskaya

Head of Corporate Finance Research Center, Dr., tenured professor

Райн Анна Сергеевна
Administrator Райн Анна Сергеевна

+7495-772-95-90 (add. 27447)

Tatyana Gennadevna Lipatova
Administrator Tatyana Gennadevna Lipatova

+7495-772-95-90 (add. 27947)

Article
Investment in ESG Projects and Corporate Performance of Multinational Companies

Cherkasova V. A., Nenuzhenko I.

Journal of Economic Integration. 2022. Vol. 37. No. 1. P. 54-92.

Article
Bankruptcy factors at different stages of the lifecycle for Russian companies

Zelenkov Y., Fedorova E.

Electronic Journal of Applied Statistical Analysis. 2022. Vol. 15. No. 1. P. 187-210.

Working paper
Do Non-Interest Income Activities Matter For Banking Sector Efficiency? A Net Interest Margin Perspective

Kolade S. A., Semenova M.

Financial Economics. FE. Высшая школа экономики, 2022. No. WP BRP 87/FE/2022.

Book chapter
Validation of the effectiveness of the bank retail portfolio risk management procedure

Pomazanov M. V.

In bk.: The 8th International Conference on Information Technology and Quantitative Management (ITQM 2020 & 2021): Developing Global Digital Economy after COVID-19. Vol. 199: The 8th International Conference on Information Technology and Quantitative Management (ITQM 2020 & 2021): Developing Global Digital Economy after COVID-19. Manchester: Elsevier, 2022. P. 798-805.

Article
CEO Power and Risk-taking: Intermediate Role of Personality Traits

Korablev D., Poduhovich D.

Journal of Corporate Finance Research. 2022. Vol. 16. No. 1. P. 136-145.

Article
Economic Growth Models and FDI in the CIS Countries During the Period of Digitalization

Olkhovik V., Lyutova O. I., Juchnevicius E.

Научно-исследовательский финансовый институт. Финансовый журнал. 2022. Vol. 14. No. 2. P. 73-90.

Article
Special issue with the 2019 Future Directions in Accounting and Finance Education Conference, Moscow, Russia

Churyk N. T., Anna Vysotskaya, Kolk B. v.

Journal of Accounting Education. 2022. Vol. 58.

Book
Тенденции развития интернета: от цифровых возможностей к цифровой реальности

Абдрахманова Г. И., Васильковский С. А., Вишневский К. О. и др.

М.: Национальный исследовательский университет "Высшая школа экономики", 2022.

Article
Разработка рейтинга проектных рисков для телекоммуникационной компании

Гришунин С. В., Сулоева С. Б., Пищалкина И. И.

Организатор производства. 2022. Т. 30. № 1. С. 60-72.

Article
Разработка механизма гибкого управления рисками в сфере телекоммуникаций

Гришунин С. В., Сулоева С. Б., Пищалкина И. И.

Экономический анализ: теория и практика. 2022. Т. 21. № 3. С. 478-496.

Article
Development of the horizon index to evaluate long-termism of Russian non-financial companies

S. Grishunin, E. Naumova, N. Lukshina et al.

Russian Management Journal. 2021. Vol. 19. No. 4. P. 475-493.

Book chapter
Analysing the Determinants of Insolvency and Developing the Rating System for Russian Insurance Companies

Grishunin S., Bukreeva Alesya, Alyona A.

In bk.: The 8th International Conference on Information Technology and Quantitative Management (ITQM 2020 & 2021): Developing Global Digital Economy after COVID-19. Vol. 199: The 8th International Conference on Information Technology and Quantitative Management (ITQM 2020 & 2021): Developing Global Digital Economy after COVID-19. Manchester: Elsevier, 2022. P. 190-197.

Book
International Conference “Future Directions in Accounting and Finance Education”, 27-28 May 2019, Moscow, Russia

Edited by: А. Б. Высотская, B. v. Kolk.

Vol. 58. Elsevier, 2022.

Article
Prudential policies and systemic risk: The role of interconnections

Karamysheva M., Seregina E.

Journal of International Money and Finance. 2022. Vol. 127.

Article
How do fiscal adjustments work? An empirical investigation
In press

Karamysheva M.

Journal of Economic Dynamics and Control. 2022. Vol. 137.

Article
Do we reject restrictions identifying fiscal shocks? identification based on non-Gaussian innovations

Karamysheva M., Skrobotov A.

Journal of Economic Dynamics and Control. 2022. Vol. 138.

Article
ЛАТИНОАМЕРИКАНСКАЯ ТЕОЛОГИЯ ОСВОБОЖДЕНИЯ: ЭКОНОМИЧЕСКИЕ ПРЕДПОСЫЛКИ, СОСТОЯНИЕ, ОПЫТ ПРАВОСЛАВНОЙ РЕФЛЕКСИИ

Тихомиров Д. В.

Известия Санкт-Петербургского государственного экономического университета. 2022. № 4. С. 144-155.

Book chapter
Students’ Survey: Propensity to Innovate

Evdokimova M., Stepanova A. N.

In bk.: 38th EBES Conference - Program and Abstract Book. Istanbul: EBES, 2022. P. 39.

Article
Prove them wrong: Do professional athletes perform better when facing their former clubs?

Assanskiy A., Shaposhnikov D., Tylkin I. et al.

Journal of Behavioral and Experimental Economics. 2022. Vol. 98.

Article
Black-Litterman model with copula-based views in mean-CVaR portfolio optimization framework with weight constraints

Teplova T., Mikova E., Munir Q. et al.

Economic Change and Restructuring. 2023. Vol. 56. No. 1. P. 515-535.

Article
Институциональные инвесторы, инвестиционный горизонт и корпоративное управление

Повх К. С., Кокорева М. С., Степанова А. Н.

Экономический журнал Высшей школы экономики. 2022. Т. 26. № 1. С. 9-36.

Article
Credit scoring methods: latest trends and points to consider

Anton Markov, Zinaida Seleznyova, Victor Lapshin.

Journal of Finance and Data Science. 2022. Vol. 8. P. 180-201.

School of Finance: Courses taught in English

Fall Semester 2017
1st module 9 weeks (including 1 week of exams)September 01      October 22
2nd module 9 weeks (including 1 week of exams) November 02  December 20 
Winter break 2 weeks January 01January 08
Spring Semester 2018
3rd module 11 weeks (including 1 week of exams)January 09 March 25
4th module (including spring break)12 weeks (including 1 week of exams) April 01 June 17 
Spring break1 weekMay 01 May 09
Summer break  9 weeksJuly 01
August 31

Banking Systems
master level

 

ELECTIVE

course type

114

hours

3

credits

1

course

3

module

 

Investment Management
undergraduate level

 

ELECTIVE

course type

108

hours

3

credits

4

course

3

module

 

Quantitative Finance
master level

 

ELECTIVE

course type

190

hours

5

credits

2

course

1-2

module

 

Consolidated Financial Statements
master level

 

ELECTIVE

course type

114

hours

3

credits

1

course

4

module

 

Corporate Governance
master level

 

ELECTIVE

course type

168

hours

3

credits

2

course

3

module

 

Corporate Finance
undergraduate level

 

ELECTIVE

course type

 114

hours

6

credits

4

course

3-4

module

 

Corporate Finance
undergraduate level

 

ELECTIVE

course type

168 

hours

3

credits

3

course

3

module

 

Corporate Finance
undergraduate level

 

ELECTIVE

course type

114 

hours

6

credits

3

course

3-4

module

 

Corporate Finance (Advanced Level – Corporate Finance-2)
master level

 

CORE CURRICULUM

course type

 190

hours

5

credits

1

course

1-2

module

 

Corporate Risk Management
master level

 

ELECTIVE

course type

 114

hours

3

credits

1

course

4

module

 

Short Term Financial Policy
undergraduate level

 

ELECTIVE

course type

108 

hours

3

credits

4

course

3

module

 

International Tax Planning
master level

 

ELECTIVE

course type

108 

hours

3

credits

2

course

2

module

 

International Corporate Finance
undergraduate level

 

ELECTIVE

course type

 108

hours

3

credits

4

course

3

module

 

International Financial Reporting Standards
master level

 

ADAPTIVE CURRICULUM

course type

 162

hours

3

credits

1

course

1

module

 

Internartional Standards of Financial Reporting
undergraduate level

 

ELECTIVE

course type

 162

hours

4.5

credits

4

course

1-2

module

 

International Finance
undergraduate level

 

ELECTIVE

course type

 108

hours

3

credits

3

course

3

module

 

Foreign Exchange Markets
undergraduate level

 

ELECTIVE

course type

 108

hours

3

credits

4

course

3

module

 

Research Seminar "Strategic Corporate Finance"
master level

 

ELECTIVE

course type

 -

hours

 -

credits

-

course

 -

module

 

Research Seminar "Empirical Corporate Finance"
undergraduate level

 

CORE CURRICULUM

course type

 304

hours

8

credits

1

course

1-4

module

 

Valuation of the Company
undergraduate level

 

ELECTIVE

course type

 162

hours

4.5

credits

4

course

1-2

module

 

Business Valuation
master level

 

CORE CURRICULUM

course type

 228

hours

6

credits

1

course

3-4

module

 

Behavioral Finance
master level

 

ELECTIVE

course type

108 

hours

3

credits

2

course

1-2

module

 

Behavioral Finance
master level

 

ELECTIVE

course type

 108

hours

5

credits

1

course

1-2

module

 

Mergers, Acquisitions and Restructuring of a Firm
master level

 

ELECTIVE

course type

 108

hours

3

credits

2

course

1-2

module

 

Mergers, Acquisitions and Restructuring of a Firm
master level

 

ELECTIVE

course type

190 

hours

5

credits

1

course

1-2

module

 

Сontemporary Problems in Corporate Finance
master level

 

ADAPTIVE CURRICULUM

course type

 114

hours

3

credits

1

course

1

module

 

Strategic Corporate Finance
master level

 

CORE CURRICULUM

course type

 144

hours

4

credits

2

course

1-2

module

 

Financial Management in a Holding Company
master level

 

ELECTIVE

course type

 108

hours

3

credits

2

course

1-2

module

 

Financial Economics
undergraduate level

 

ELECTIVE

course type

162 

hours

4.5

credits

3

course

1-2

module

 

Financial Modelling in a Firm
master level

 

ELECTIVE

course type

 114

hours

3

credits

1

course

3

module

 

Please, mail to df@hse.ru for details