Biografía
2011, PhD in Finance, Rotterdam School of Management, Erasmus University
2007, M.Phil in Business Research (specialisation finance), Cum Laude, Rotterdam School of Management, Erasmus University
2006, MSc in Finance, Distinction, Durham University, UK
2002, Bachelor in Commerce/Economics (Honours), University of Malta
Formación Académica
2011, PhD in Finance, Rotterdam School of Management, Erasmus University
2007, M.Phil in Business Research (specialisation finance), Cum Laude, Rotterdam School of Management, Erasmus University
2006, MSc in Finance, Distinction, Durham University, UK
2002, Bachelor in Commerce/Economics (Honours),University of Malta
Áreas de Interés
Empirical corporate finance
Behavioural corporate finance
Security issues and market timing
Earnings disclosures
Convertible debt financing
Trayectoria Profesional
2017 Associate professor of finance, Colegio Universitario de Estudios Financieros (CUNEF)
2011-2017 Assistant professor of finance, Colegio Universitario de Estudios Financieros (CUNEF)
2010-2011 Lecturer, Rotterdam School of Management, Erasmus University
2002-2005 Economist, Central Bank of Malta
Publicaciones Destacadas
"Do Investors Learn From The Past? Evidence From Follow-on Equity Issues", Journal of Corporate Finance 39 (2016), pp. 36-52.
“Do Convertible Bond Issuers Cater to Investor Demand?”, with Abe de Jong and Marie Dutordoir, Financial Management 42 (2013) pp. 41-78.
“Why Are Convertible Bond Announcements Associated with Increasingly Negative Abnormal Stock Returns? An Arbitrage-Based Explanation” with Marie Dutordoir, Chris Veld, and Patrick Verwijmeren, Journal of Banking and Finance 36 (2012), pp. 2884-2899.
“Catering Convertible Design to Hedge Fund Demand”, with Marie Dutordoir (working paper)
“What are credit ratings really worth”, with Armen Arakelyan (working paper)
“Bankinter: Seeking the Right Growth Strategy”, with Lidija Lovreta (2015 IVEY Publishing Case Study Product No. 9B15N024; and 8B15N024.)