Victor Dragotă

Victor dragotă

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location of Victor DragotăBucharest, Romania
Phone number of Victor Dragotă+91 xxxx xxxxx
Followers of Victor Dragotă2000 followers
  • Timeline

    Jan 1999 - now

    Member

    European Working Group on Commodities and Financial Modelling
    Nov 2002 - Dec 2018

    Member

    Asociatia Nationala a Evaluatorilor din Romania - ANEVAR
    Oct 2004 - Oct 2006

    Researcher

    Bucharest University of Economic Studies - CERV-ISI
    Feb 2008 - Oct 2011

    Chair - Department of Finance

    Bucharest University of Economic Studies
    Jan 2009 - now

    Chief-editor

    Review of Finance and Banking
    Current Company
    May 2009 - now

    Doctoral Supervisor

    The Bucharest University of Economic Studies
    Bucharest, Romania
  • About me

    Professor of Corporate Finance and Portfolio Management

  • Education

    • Bucharest university of economic studies

      1997 - 2003
      Phd finance

      Activities and Societies: Research; Exams; Papers; Students' scientific conference; PhD Thesis. As final result, my book - Politica de dividend, Ed. All Beck, Bucuresti, 2003. Dividend policy for Romanian companies

    • Academia de studii economice din bucurești

      1996 - 1997
      Master's degree dofin: financial strategy

      Activities and Societies: Courses, research Finance

    • Academia de studii economice din bucurești

      1991 - 1996
      Bs finance

      Activities and Societies: Students' scientific conferences Finance

    • Colegiul national sfantul sava bucuresti

      1989 - 1991
      Bachelor of science (bs) mathematics and physics

      Mathematics-Physics

  • Experience

    • European working group on commodities and financial modelling

      Jan 1999 - now
      Member

      Reseach

    • Asociatia nationala a evaluatorilor din romania - anevar

      Nov 2002 - Dec 2018
      Member

      Lecturer, member of ANEVAR Research Committee (in the past)

    • Bucharest university of economic studies - cerv-isi

      Oct 2004 - Oct 2006
      Researcher

      Research in Finance.

    • Bucharest university of economic studies

      Feb 2008 - Oct 2011
      Chair - department of finance

      academic management, coordination of one of the most important departments in Bucharest Academy of Economic Studies

    • Review of finance and banking

      Jan 2009 - now
      Chief-editor

      Chief-editor. The Review of Finance and Banking (RFB) is an referred journal that publishes articles focusing mainly on corporate finance, investments, portfolio management, corporate governance, insurance, public finance, valuation, international finance, financial markets, real estate, monetary and fiscal policies.

    • The bucharest university of economic studies

      May 2009 - now

      Research activity in Finance. My main scientific interests are related to: (1) Portfolio performance. Investors' behaviour, Efficient Market Hypothesis and Behavioural Finance, Anomalies and abnormal returns. Epidemics and prices.(2) Dividend policy, shareholders' wealth and shareholders' happiness: behavioral finance, cultural finance and agency problems, shareholders' wealth and non-financial objectives(3) Companies' performance: Shareholders' objectives, ownership and control, agency problems and control premium(4) Companies'performance: Capital structure and cost of capital: behavioral finance, cultural finance and agency problems(5) Financial development (especially, capital market development).(6) Memes (imaginated entities / social conventions) and financial decisions.(7) Companies' performance: Financial and non-financial performance, optimizations, indicators, ecological issues, socio-cultural factors; sustainable development, corporate social responsibility; financial performance and distress; agency problems.(8) Portfolio performance: optimizations; financial and non-financial objectives, indicators, investors' psychology; investors'utility, wealth, and happyness; socio-cultural factors; environmental, social and governance factors; sustenaible and responsible investments; shares' valuation; green bonds; genes and investors' behaviour; behavioural economics and finance; experimental economics and finance; neuro-economics; model ambiguity.(9) Stakeholders’ motivations in corporate finance(10) Motivations / objectives of investors and portfolio managers(11) Value estimation(12) Memes - Typology, Determinants, Causes for evolution, Dynamics of determinants, Effects. Education (including financial education), persuasion and manipulation (including on capital markets)(13) The impact of memes dynamics on investors' wealth (14) Shareholders' happiness Show less

      • Doctoral Supervisor

        Apr 2009 - now
      • Professor

        Oct 1996 - now
      • Researcher

        May 2009 - now
  • Licenses & Certifications

    • Phd in economics (finance)

      Jan 2003
  • Honors & Awards

    • Awarded to Victor Dragotă
      Diplomă – Menţiune pentru literatură de specialitate economică pentru lucrarea “Evaluarea acţiunilor societăţilor comerciale” Asociaţia Facultăţilor de Economie din România Diplomă – Menţiune pentru literatură de specialitate economică – acordată de Asociaţia Facultăţilor de Economie din România, pentru lucrarea “Evaluarea acţiunilor societăţilor comerciale”, 2006.
  • Volunteer Experience

    • Editor In Chief

      Issued by Review of Finance and Banking on May 2009
      Review of Finance and BankingAssociated with Victor Dragotă
    • Reviewer

      Issued by Publons on Jan 2007
      PublonsAssociated with Victor Dragotă