About
Konstantina Mari is a Teaching Associate at the School of Economics and Finance, Queen Mary University of London. Her role involves academic teaching and supporting educational activities within the school. She holds a PhD in Financial Economics and maintains research interests in areas such as financial modeling, behavioral finance, stochastic processes, and stock market dynamics.
- Affiliation: School of Economics and Finance
- Institution: Queen Mary University of London
Her research focuses on advancing methodologies in financial economics, including option pricing frameworks, stochastic modeling techniques, and analyzing behavioral aspects of investor decision-making. Recent work explores alternative investment forecasting models and the impact of stochastic specifications on financial outcomes.
Though no grants or labs are explicitly mentioned, her academic contributions are centered on publishing peer-reviewed articles in specialized journals. She has advised no students according to the available data.
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