Victoria Rodina
- Senior Lecturer: Faculty of Economic Sciences / Department of Financial Market Infrastructure
- Victoria Rodina has been at HSE University since 2010.
- Language Proficiency
- English
- Contacts
- Phone:
+7 (495) 772-95-90
27947 - Address: 11 Pokrovsky Bulvar, Pokrovka Complex, room S628
- ORCID: 0000-0003-1280-8966
- ResearcherID: G-8526-2016
- Scopus AuthorID: 56594882000
- Google Scholar
- Supervisor
- T. Teplova
Have you spotted a typo?
Highlight it, click Ctrl+Enter and send us a message. Thank you for your help!
To be used only for spelling or punctuation mistakes.
Education
University of York
University of York
Moscow State Institute of International Relations (University) of the Ministry of Foreign Affairs of the Russian Federation
Moscow State Institute of International Relations (University) of the Ministry of Foreign Affairs of the Russian Federation
Awards and Accomplishments
Winner of the HSE University Best Russian Research Paper Competition – 2024
Courses (2024/2025)
- Advanced Topics in Asset Pricing and Asset Allocation (Master’s programme; Faculty of Economic Sciences field of study Finance and Credit; 2 year, 1, 2 module)Eng
- Advanced Topics in Asset Pricing and Asset Allocation (Mago-Lego; 1, 2 module)Eng
- Derivatives (Master’s programme; Faculty of Economic Sciences field of study Finance and Credit; 1 year, 3 module)Rus
- Derivatives (Mago-Lego; 3 module)Rus
- Derivatives 1 (Master’s programme; Faculty of Economic Sciences field of study Finance and Credit; 1 year, 3 module)Rus
- Derivatives 1 (Master’s programme; Faculty of Economic Sciences field of study Finance and Credit; 1 year, 3 module)Rus
- Derivatives 1 (Mago-Lego; 3 module)Rus
- Mentor's Seminar (Master’s programme; Faculty of Economic Sciences field of study Finance and Credit; 2 year, 1-4 module)Rus
- Mentor's Seminar (Master’s programme; Faculty of Economic Sciences field of study Finance and Credit; 1 year, 2-4 module)Rus
- Theory of Finance (Master’s programme; Faculty of Economic Sciences field of study Finance and Credit; 2 year, 2 module)Rus
- Theory of Finance (Master’s programme; Faculty of Economic Sciences field of study Finance and Credit; 2 year, 2 module)Rus
- Theory of Finance (Master’s programme; Faculty of Economic Sciences field of study Finance and Credit; 2 year, 1 module)Rus
- Theory of Finance (Master’s programme; Faculty of Economic Sciences field of study Finance and Credit; 2 year, 1 module)Rus
- Theory of Finance (Master’s programme; HSE Banking Institute field of study Finance and Credit; 1 year, 3, 4 module)Eng
- Theory of Finance (Master’s programme; HSE Banking Institute field of study Finance and Credit; 1 year, 1, 2 module)Eng
- Theory of Finance (Mago-Lego; 2 module)Rus
- Theory of Finance (Mago-Lego; 1 module)Rus
- Theory of Finance (Mago-Lego; 1, 2 module)Eng
- Theory of Finance (Mago-Lego; 3, 4 module)Eng
- Past Courses
Courses (2023/2024)
- Advanced Topics in Asset Pricing and Asset Allocation (Master’s programme; Faculty of Economic Sciences field of study Finance and Credit; 2 year, 1, 2 module)Eng
- Advanced Topics in Asset Pricing and Asset Allocation (Mago-Lego; 1, 2 module)Eng
- Derivatives 1 (Mago-Lego; 3 module)Rus
- Derivatives 1 (Master’s programme; Faculty of Economic Sciences field of study Finance and Credit, field of study Finance and Credit; 1 year, 3 module)Rus
- Mentor's Seminar (Master’s programme; Faculty of Economic Sciences field of study Finance and Credit; 2 year, 1-4 module)Rus
- Mentor's Seminar (Master’s programme; Faculty of Economic Sciences field of study Finance and Credit; 1 year, 2-4 module)Rus
- World Financial Markets (Mago-Lego; 3, 4 module)Rus
Courses (2022/2023)
- Derivatives 1 (Master’s programme; Faculty of Economic Sciences field of study Finance and Credit, field of study Finance and Credit; 1 year, 3 module)Rus
- Derivatives 1 (Mago-Lego; 3 module)Rus
- Portfolio Management (Mago-Lego; 1, 2 module)Eng
- Portfolio Management (Master’s programme; Faculty of Economic Sciences field of study Finance and Credit; 2 year, 1, 2 module)Eng
- Theory of Finance (Master’s programme; Faculty of Economic Sciences field of study Finance and Credit, field of study Finance and Credit, field of study Finance and Credit, field of study Finance and Credit; 1 year, 3 module)Eng
- Theory of Finance (Mago-Lego; 3 module)Eng
- Theory of Finance (Mago-Lego; 3, 4 module)Eng
- Theory of Finance (Master’s programme; HSE Banking Institute field of study Finance and Credit; 1 year, 3, 4 module)Eng
Courses (2021/2022)
- Portfolio Management (Master’s programme; Faculty of Economic Sciences field of study Finance and Credit; 2 year, 1, 2 module)Eng
- Theory of Finance (Master’s programme; HSE Banking Institute field of study Finance and Credit, field of study Finance and Credit; 1 year, 3, 4 module)Eng
- Theory of Finance (Master’s programme; Faculty of Economic Sciences field of study Finance and Credit; 1 year, 3 module)Eng
Courses (2020/2021)
- Asset Management (Master’s programme; Faculty of Economic Sciences field of study Finance and Credit; 2 year, 1, 2 module)Eng
- Research Project Seminar (Optional course (faculty); Faculty of Economic Sciences; 1-3 module)Rus
- Theory of Finance (Master’s programme; HSE Banking Institute field of study Finance and Credit, field of study Finance and Credit; 1 year, 3, 4 module)Rus
- Theory of Finance (Master’s programme; Faculty of Economic Sciences field of study Finance and Credit; 1 year, 3 module)Eng
Conferences
- 2014
XV Апрельская международная научная конференции «Модернизация экономики и общества» (Москва). Presentation: Liquidity Performance pre and post RTS and MICEX Consolidation
- 2013
The 11th EBES Conference - Ekaterinburg (Екатеринбург). Presentation: Liquidity Component of the Equity Premium: The Case of the Russian Equity Market in the Crisis and Post-crisis Period
Corporate Finance – 2013 (София). Presentation: Merger of Russian Exchanges: Pre and post Consolidation Liquidity across Large to Small Caps
XIV Апрельская международная научная конференция «Модернизация экономики и общества» (Москва). Presentation: Ожидаемая доходность и риск неликвидности: важно ли учитывать ликвидность в управлении инвестициями на российском фондовом рынке?
'In the Future I Want to Open a Business School in Nigeria'
Graduate of HSE University and University of Luxemburg Tobi Oladiran from Nigeria reflects on his experience and takeaways from the Master’s programme in Strategic Corporate Finance and the double track it offers.