Mikhail Stolbov

Stolbov Mikhail

Professor of Economics at MGIMO—University, Department of Applied Economics. His research focuses on financial macroeconomics, in particular, on the investigation of causal linkages between financial and macroeconomic indicators, systemic risk and determinants of financial crises. He is also keen on the problems related to applied industrial organization. Dr. Stolbov regularly publishes articles in Russian and international peer-reviewed journals and has been involved as a senior researcher in a number of projects under the auspices of the Ministry of Education, the Central Bank and the Accounts Chamber of the Russian Federation.

Recent papers
Mikhail Stolbov, 2016. «Causality between Sovereign, Quasi-sovereign Credit Risks and Global Volatility: the Case of Russia», Journal of Eurasian Studies, Elsevier, vol. 7(1), 71— 84. (in English).
Mikhail Stolbov, 2017. «Assessing Systemic Risk and Its Determinants for Advanced and Major Emerging Economies: the Case of ΔCoVaR», International Economics and Economic Policy, Springer, vol. 14(1), pp. 119–152 (in English).

Economic Theory