About
Mikhail Chernov is a Professor of Finance at UCLA Anderson School of Management. His research spans Financial Economics, Asset Pricing, Term Structure Models, and Derivatives Pricing. His work connects macroeconomic fundamentals with financial market behavior.
Research Focus:
- Term structure of interest rates and inflation expectations
- Volatility modeling in equity and derivatives markets
- Exchange rate determination mechanisms
- Sovereign risk assessment
Recent publications examine monetary policy frameworks, exchange rate dynamics, and sovereign credit risks. His work combines theoretical models with empirical market data analysis.
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