Magnus Blomkvist
Associate Professor
Main contributions
Journal of Corporate Finance, Energy Journal, Financial Review
Bio
Magnus Blomkvist holds a PhD in financial economics from the Hanken School of Economics in Helsinki (2014). His research and teaching interests revolve around corporate finance, energy and alternative investment issues. His work has been published in several journals, including the Journal of Corporate Finance, Energy Journal and Financial Review, and has been disseminated in National Affairs, Het Financieele Dagblad, Business Insider, MSN, Investor Place, Fin Reg Blog, etc. Magnus has taught at Audencia, Aalto University, HSE, Prague University and Angers University.
Publications of Magnus Blomkvist
The alphabet and idiosyncratic volatility
Journal of Financial Research, August 2024
The Acquisition Motive of Newly Credit Rated Firms
Journal of Banking and Finance, Volume 164, May 2024
Are former military personnel valuable to shareholders? Evidence from boards of directors.
Economics Bulletin, Volume 42, April 2024, Pages 1314 - 1330
Political Connections and Shareholder Support
British Journal of Management, January 2024
Oil Price Uncertainty and IPOs
Energy Journal, Volume 44, December 2023, Pages 43 - 64