Wolffintie 34, 65200 Vaasa

Jussi Nikkinen

Professori

Kauppatieteellinen tiedekunta, Laskentatoimi ja rahoitus
Sähköposti: etunimi.sukunimi@uva.fi
Puhelin: 029 449 8429
Osoite: Wolffintie 34, 65200 Vaasa
Huone: Tervahovi D309 
Vastaanotto: Tutkimusvapaalla, ei vastaanottoa.

Julkaisut ja asiantuntijatehtävät:

» Tutkimustietokanta SoleCRIS

> GoogleScholar

> RsearchGate

 

KTT (Vaasan yliopisto)

 

Nykyiset tehtävät

Professori, Laskentatoimi ja rahoitus

Finance and Financial Accounting Research Group tutkimusryhmän johtaja

Dosentti, Lappeenrannan teknillinen yliopisto

 

Varttunut tutkija (Suomen Akatemia) 1.8.2010 - 31.7.2011

 

Ammatilliset kiinnostuksen kohteet ja erityisalueet

Rahoitusmarkkinat, arvonmääritys

 

Opetus

Financial Derivatives and Risk Management

Research in Financial Markets

Introduction to Bachelor’s Thesis

Introduction to Master’s Thesis

Master’s Thesis groups

 

Tutkimuspalkinnot

Åbo Akademi Prize 2017

Best Paper Award, 2011 Global Finance Conference

Outstanding Paper Award, 2006 Southern Finance Association Meeting

 

 

Valittuja julkaisuja kansainvälisissä tiedelehdissä

 

Dutta, Anupam, Jussi Nikkinen and Timo Rothovius (2017). Impact of oil price uncertainty on Middle East and African stock markets. Energy, 15, 189-197.

Klemola, Antti, Jussi Nikkinen and Jarkko Peltomäki (2016). Changes in investors' attention and near-term stock market returns. Journal of Behavioral Finance, 17, 18-30.

Kaurijoki, Miikka, Jussi Nikkinen and Janne Äijö (2015). Return-implied volatility dynamics of high and low yielding currencies. Journal of Futures Markets, 35, 1026-1041.

Kiviaho, Jarno, Jussi Nikkinen, Vanja Piljak and Timo Rothovius (2014). The co-movement dynamics of European frontier stock markets. European Financial Management, 20, 574-595.

Kotkatvuori-Örnberg, Juha, Jussi Nikkinen and Janne Äijö (2013). Stock market correlations during the financial crisis of 2008-2009: Evidence from 50 equity markets. International Review of Financial Analysis, 28, 70–78.

Graham, Michael, Jarno Kiviaho and Jussi Nikkinen (2013). Short-term and long-term dependencies of the S&P 500 index and cointmmodity prices. Quantitative Finance, 13:4, 583-592.

Nikkinen, Jussi and Sami Vähämaa (2010). Terrorism and stock market sentiment. Financial Review, 45:2, 263-275.

Nikkinen, Jussi and Sami Vähämaa (2009). Central bank interventions and implied exchange rate correlations. Journal of Empirical Finance, 16:5, 862–873.

Nikkinen, Jussi, Mohammed Omran, Petri Sahlström and Janne Äijo (2008). Stock returns and volatility following the September 11 attacks: Evidence from 53 equity markets. International Review of Financial Analysis, 17:1, 27-46.

Nikkinen, Jussi, Petri Sahlström and Janne Äijo (2007). Turn-of-the-month and intramonth effects: Explanation from the important macroeconomic news announcements. Journal of Futures Markets, 27:2, 105-126.

Kallunki, Juha-Pekka, Jussi Nikkinen, Petri Sahlström and Kristina Wichmann (2006). Should there exist secondary markets for executive stock options? Accounting and Finance, 46:2, 265-283.

Nikkinen, Jussi, Petri Sahlström and Sami Vähämaa (2006). Implied volatility linkages among major European currencies. Journal of International Financial Markets, Institutions & Money, 16:2, 87-103.

Nikkinen, Jussi and Petri Sahlström (2005). Risk in audit pricing: the role of firm-specific dimensions of risk. Advances in International Accounting, 18, 141-152.

Nikkinen, Jussi and Petri Sahlström (2004). Impact of an accounting environment on cash flow prediction. Journal of International Accounting, Auditing and Taxation, 13:1, 39-52.

Nikkinen, Jussi and Petri Sahlström (2004). Does agency theory provide a general framework for audit pricing? International Journal of Auditing 8: November, 253-262.

Nikkinen, Jussi and Petri Sahlström (2004). Impact of the Federal Open Market Committee's meetings and scheduled macroeconomic news on stock market uncertainty. International Review of Financial Analysis, 13:1, 1-12.

Nikkinen, Jussi and Petri Sahlström (2004). Distributional properties and transformation of financial ratios: The impact of accounting environment. Advances in International Accounting, 17, 85-101.

 

Päivitetty 02.06.2017 - Verkkotoimitus
Edit Profile