
معرفی
Andrei Semenov is an Associate Professor in the Department of Economics at York University, Toronto, affiliated with the Faculty of Liberal Arts & Professional Studies. He holds a PhD in Economics from Université de Montréal. His research focuses on theoretical and empirical asset pricing, risk management, behavioral finance, and financial econometrics. He has served in editorial roles for the British Journal of Economics, Management & Trade and the Journal of Stock & Forex Trading.
Education:
- PhD in Economics, Université de Montréal
Research Interests:
Professor Semenov's work bridges theoretical and applied aspects of financial markets, emphasizing asset pricing anomalies, behavioral finance dynamics, and advanced econometric methodologies. His contributions address practical risk management challenges and market behavior patterns.
Awards:
- Ben Graham Center for Value Investing Award (2019) for best paper on asset pricing and behavioral finance presented at the Multinational Finance Society Conference
- Stephen A. Ross Best Paper Award (2006) for top article in Finance Research Letters
Service & Editorial Roles:
He has actively contributed to academic governance as a session organizer, program committee member, and reviewer for major conferences and journals. Currently serves as Associate Editor of the British Journal of Economics, Management & Trade and Editorial Board member of the Journal of Stock & Forex Trading.



