Ivan T. Ivanov
Financial Economist
Office of Financial 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
Adjunct Professor
George Washington University
2013-2014
Adjunct Professor
University of Rochester
2012-2013
Financial Economist
Division of Economic and Risk Analysis
U.S. Securities and Exchange Commission
2012–present
Instructor
William E. Simon Graduate School of Business
University of Rochester
2010–2012
  • Ivan Ivanov, Joao A.C. Santos and Thu Vo, The introduction of market based pricing in corporate lending, forthcoming, Journal of Financial Perspectives.
  • Ivan Ivanov, Joao A.C. Santos and Thu Vo, The Transformation of Banking: Tying Loan Spreads to Credit Default Swap (featured in Bloomberg News).
  • Ivan Ivanov and Stephen Lenkey, Leveraged ETFs, Volatility and the Role of Market Frictions.
  • 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.

Conference Activities

Paper presentation, 2014 WFA Conference

University Presentations

Federal Reserve Board, 2014
Federal Reserve Bank of Cleveland, 2014
University of Rochester, 2012
University of Georgia, 2012
Iowa State University, 2012
University of California at Riverside, 2012
U.S. Securities and Exchange Commission, 2012
American University, 2012
University of Rochester, 2011
University of Pennsylvania, 2011