Stefano Mazzotta
Professor
Coles College of Business
Southern Polytechnic State University
United States of America
Biography
Stefano Mazzotta is a Professor of Economics, Finance & Quantitative Analysis. Education: PhD in Finance - McGill University; MBA in Finance - McGill University; Faculty of Economics and Commerce - Laurea - Summa cum laude - Universita' di Bologna
Research Interest
International Finance; Empirical asset pricing; Volatility; Credit Constrained Lending.
Publications
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Asset pricing in segmented markets. Evidence from lab experiments, (2011) With Lucy Ackert, and Qi Li. Southern Economic Journal , 77(3), 585–598
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The Bubble Economy and the Lost Decade: Learning from the Japanese Economic Experience, (2015) with William Tsutsui, Journal of Global Initiatives: Policy, Pedagogy, Perspective: Vol. 9: No. 1, Article 6.
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Leverage and Asymmetric Volatility: The Firm Level Evidence, (2016), with Jan Ericsson and Xiao Huang. Forthcoming on the Journal of Empirical Finance