Forskardoktor (Tenure Track)
Dr. Denis Davydov joined Hanken School of Economics in 2022. He has previously worked at the University of Vaasa and has been a visiting researcher at the Bank of Finland (BOFIT). He also held visiting positions at the University of Manchester, Stockholm University, Auburn University, and Clemson University. His research interests are in the area of financial institutions and markets with a particular emphasis on financial intermediation and bank-firm relationship, corporate financial decision-making, capital and ownership structures, performance and behavior of banks.
Davydov, D., Sihvonen, J. & Solanko, L. (2022). Who cares about sanctions? Observations from annual reports of European firms. Post-Soviet Affairs, Vol. 38, 222-249. PDF
Davydov, D., Vähämaa, S. & Yasar, S. (2021). Bank liquidity creation and systemic risk. Journal of Banking & Finance, Vol. 123, 106031. PDF
Davydov, D., Khrashchevskyi, I. & Peltomäki, J. (2021). Investor attention and portfolio performance: what information does it pay to pay attention to? European Journal of Finance, Vol. 27, 1740-1764. PDF
Davydov, D., Fungácová, Z. & Weill, L. (2018). Cyclicality of bank liquidity creation. Journal of International Financial Markets, Institutions & Money, Vol. 55, 81-93. PDF