Ivan T. Ivanov
Financial Economist
Office of Investments and Intermediaries
Education Summary
- Ph.D. Finance and Strategy, University of Rochester, 2012
- B.S. Mathematics, Ramapo College of New Jersey, 2007
- B.A. Business Administration - Finance, Ramapo College of New Jersey, 2007
Fields of Interest
- Capital acquisition process
- Capital structure
- Banks and depository institutions
- Market efficiency
- Financial crises
- Investment banking, venture capital, and angel investing
- Financial Economist
- Division of Risk, Strategy and Financial Innovation
- U.S. Securities and Exchange Commission
- 2012–present
- Instructor
- William E. Simon Graduate School of Business
- University of Rochester
- 2010–2012
- Ivan Ivanov, Contractual Contingencies and Bank Debt Renegotiation: Evidence from the Use of Pricing Grids.
- Matthew Gustafson, Ivan Ivanov and John Ritter, The Effect of Short-term Liquidity and Capacity Constraints on Industry Cooperation (featured at the Harvard Law School Forum on Corporate Governance and Regulation).
- Ivan Ivanov, Credit Lines, Investment, and Financial Flexibility.
University Presentations
- University of Rochester, 2011
- University of Georgia, 2012
- Iowa State University, 2012
- University of California at Riverside, 2012
- U.S. Securities and Exchange Commission, 2012
- American University, 2012
- Federal Deposit Insurance Corporation, 2012
- University of Rochester, 2011
- University of Pennsylvania, 2011