Dr. Dimitrios P. Louzis, FRC, Financial Econometrics
Evelpidon 47 & Lefkados 33, 9th floor, 917
GR-11362, Athens, Greece
e-mail: dlouzis@aueb.gr
phone: 2108203670
Dimitrios holds a BSc in Accounting and Finance (2003), a MSc in Applied Economics and Finance (2005) and a PhD in Financial Econometrics (2012) from the Athens University of Economics and Business. His research interests include realized volatility modeling and forecasting, Value at Risk (VaR) methods, stress testing methods in banking, systemic risk indicators and early warning systems. Dimitrios has published articles in academic Journals, such as the Journal of Banking and Finance, Journal of Forecasting, ECB working paper series, Economic Modelling, Applied Economics, Economics Bulletin, as well as in international peer-reviewed conferences, including the European Conference on Operational Research (2010), CSDA Conference on Computational and Financial Econometrics (CFE 2010, CFE 2011, CFE 2012), International Conference on Applied Economics (ICOAE 2010) and International Conference on Macroeconomic Analysis and International Finance (ICMAIF 2011). Dr. Louzis works as a financial economist at the Bank of Greece since 2007.


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