Matti Suominen 교수 상세 프로필

Matti Suominen 사진
Matti Suominen
Affiliation
Aalto University School of Economics
Courses
Applied Corporate Finance
Education
Helsinki School of Economics and Business Administration, Helsinki, Finland
M.A., Economics, April 1991
Participated in Kansallis-Bank sponsored Doctoral program in Finance, 1991 -1992

University of Pennsylvania, Philadelphia, PA
Ph.D., Economics, August 1997

Fields of Concentration:
Finance, Industrial Organization
Honor
∙ Yrjö Jahnsson Award for best economics masters’ thesis, the Helsinki School of Economics
∙ Nominated for best dissertation, the University of Pennsylvania
∙ Winner of 2004 Best MBA Teacher Award, INSEAD
∙ 2004 Best Paper Award, The Journal of Financial Markets
Positions Held

Professor of Finance, Aalto University School of Economics, September 2014 –. Head of the Finance Department, 2010-2013, Research Professor/Director of the Financial Markets and Services Research Group, Helsinki School of Economics, September 2005 –2009.

Adjunct Professor of Finance, INSEAD, September 2006 -2009.

Visiting Associate Professor of Finance, Wharton School, University of Pennsylvania, July 2005 – December 2005.

Associate Professor of Finance, INSEAD, Fontainebleau, France, July 2002 – August 2004 (on a two year leave of absence 2004-2006).

Assistant Professor of Finance, INSEAD, Fontainebleau, France, July 1997 – June 2002.

Engagement Manager, McKinsey & Co., European Corporate Finance Practice, August 2000 – May 2001.

Economist, Research Department, Bank of Finland, Helsinki, Finland, January 1992 - June 1992.

Economist, Financial Markets Department, Bank of Finland, Helsinki, Finland, February 1991 -  August 1991.

Research Assistant, Research Department, Bank of Finland, Helsinki, Finland, April 1990 -  January 1991 and summers 1993 and 1994.

Economist, Interbank Ltd., Helsinki, Finland, June 1989 - March 1990.

Chief Dealer, Options and Futures, Interbank Ltd., Helsinki, Finland, July 1988 - September 1988.

Dealer/Market Maker, Options, Futures and Bonds, Interbank Ltd., Helsinki, Finland, October 1987 - June 1988.

Dealer Assistant, Eurobonds, International Capital Markets Department, Postipankki Ltd., Helsinki, Finland, part time, September 1986 - June 1987.

Academic Professional Activities
Referee for Review of Economic Studies, Review of Financial Studies, Journal of Empirical Finance, Journal of Banking and Finance, Journal of Futures Markets, Journal of Finance, Journal of Financial and Quantitative Analysis, International Economic Review, Rand Journal of Economics, The Scandinavian Journal of Economics, Journal of Economics and Business, Journal of Economic Theory and European Economic Review.

Seminar presentations of my research: Econometric Society European Meeting, 1997, 1999, North American Summer Meeting of the Econometric Society, 1998, North American Winter Meeting of the Econometric Society, 1999, American Finance Association, 2009, 2012, Western Finance Association, 2011 (co-author presented) European Finance Association, 1998, 1999, 2005, Asian Finance Association 2001, 2010, Econometric Society World Congress, 2010 (co-authore presented). Numerous invited seminar presentations in leading business schools and universities. Organized several conferences.

Discussant: Western Finance Association Annual Meetings, 1998, North American Summer Meeting of the Econometric Society, 1998, Asian Finance Association 2001, CEPR- conference, 2002, European Finance Association meetings, 1998, 1999 and 2004, 2005.
Published Working Papers

“Hedge Funds and Market Efficiency” 2012, working paper with Joni Kokkonen, revise and resubmit at the Management Science.

“A Structural Model of Short-term Reversals,” Working paper, 2010, with Kalle Rinne (cited in the 2010 American Finance Association Presidential Address; presented at the 2010 Econometric Society World Congress).

“Short-Term Reversals, Returns to Liquidity Provision and the Costs of Immediacy,” Working paper, 2010, with Kalle Rinne (cited in the 2010 American Finance Association Presidential Address; presented at the 2010 Econometric Society World Congress).

“Do Mutual Funds Demand or Supply Immediacy,” 2010, working paper with Kalle Rinne

“Merger Waves and Deal Characteristics,” Working paper, 2008, with Joni Kokkonen and Kalle Rinne.

“Value uncertainty, price impact and the choice of the equity issuing method”, Working Paper, 2008, with Kalle Rinne.

“Does bad corporate governance lead to too little competition?”, European Corporate Governance Institute Working Paper 74/2005, March 2005, with Paolo Fulghieri.

Professional Experience

MBAs at HSE, INSEAD, Wharton and elsewhere over a period of more than 10 years. Taught in or directed more than 20 company specific programmes including in those for Bertelsmann, Cisco, Macquarie, Mubadala, Noble Group, Nordea, Schlumberger, SGCC (State Grid Corporation of China) and Shell. Nominated 4 times for the INSEAD best MBA teacher award. Winner of the INSEAD best MBA teacher award in 2004. Program Director of the open enrollment executive course “Finance for Executives,” INSEAD’s largest non-general Executive Programme, from 2002 until 2006. Member of INSEAD’s Executive Education committee, 2003-2004. Best Executive teacher award at the Aalto University, 2011.

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