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Aytek Malkhozov

McGill University · Business

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Regular biography

Aytek Malkhozov is an Associate Professor of Finance in the Desautels Faculty of Management at McGill University. His research focuses on finance, though specific areas of specialization are not detailed. He is affiliated with the Department of BUS and contributes to the academic community through his teaching and scholarly work. His professional profile can be accessed via the McGill University website.


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Scholar-generated biography

Aytek Malkhozov is a researcher at McGill University with expertise in Finance and Economics. His work explores central bank policies, mortgage risk, yield curve dynamics, and variance risk in equity and option markets. Malkhozov investigates funding illiquidity, global stock returns, and asset pricing models influenced by stochastic volatility and long-run risk. His research also examines financial integration, cross-border funding frictions, and the impact of supply-side frictions on variance risk premiums. Additionally, he analyzes the role of expectations, aggregate risk, and distorted beliefs in shaping asset prices. His contributions span both theoretical and empirical studies, offering insights into macroeconomic and financial market dynamics.

Source: google_scholar · 102 words
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