Dmitry Kuvshinov is an Assistant Professor of Finance at Universitat Pompeu Fabra and a BSE Affiliated Professor.
During 2007-13, Dmitry was an Economist at the Bank of England, where he covered financial regulation, macroprudential policy, and UK banking statistics. He received his PhD from the University of Bonn in 2019. His research focuses on the interactions between finance and macroeconomics, with particular emphasis on using long-run data to shed light on rare crisis events and secular trends in financial and macroeconomic variables.
- ERC Starting Grant, "Safety, Liquidity and Crises" (2023)
- BSE Seed Grant, "Safe Assets in the Long-run International Perspective" (2021)
Working Papers
Publications
Recognition ProgramOpen Access Dmitry Kuvshinov and Kaspar Zimmermann
Open Access
The Big Bang: Stock Market Capitalization in the Long Run
Journal of Financial Economics, Vol.145, No 2B, 527-552, August 2022, 10.1016/j.jfineco.2021.09.008Open Access