معرفی
Mark Kantšukov is a Lecturer in Finance at the University of Tartu, Faculty of Social Sciences, School of Economics and Business Administration (since 2024). With a Doctor's Degree (2023) and Research Master's Degree (2010) in finance, he specializes in corporate valuation, tax policy impacts, investment strategies, and behavioral finance.
Research Focus:
- Corporate valuation under distributed profit taxation systems
- Investment property holding periods under varying tax regimes
- Behavioral finance and investor decision-making
- Market analysis during crises (e.g., pandemic impacts)
- ESG investing and principal adverse impact indicators
Scientific Awards:
- 2010: Letter of Appreciation from Ministry of Education and Research
- Multiple scholarships (2002-2008) from Tartu University Foundation, Estonian Credit Bank, and private funds
His publications span corporate finance, real estate valuation, behavioral economics, and policy analysis in journals like Global Policy, Real Estate Management and Valuation, and Estonian media outlets (2016-2025).
۰مقاله منتشرشده




