Georgy Chabakauri

Associate Professor Of Finance at The London School of Economics and Political Science

Schools

  • The London School of Economics and Political Science

Links

Biography

The London School of Economics and Political Science

Research Interests:

  • asset pricing with frictions, macro-finance, asymmetric information, portfolio choice, risk management.

Education

  • PhD London Business School (2004 — 2009)
  • PhD Moscow State University (2001.09 — 2004.05)
  • MA New Economic School (2001.09 — 2003.07)
  • MSc Moscow State University (1996.09 — 2001.06)

Publications:

  • Chabakauri, G., Yuan, K., and K. Zachariadis, 2021, “Multi-Asset Noisy Rational Expectations Equilibrium with Contingent Claims,” Review of Economic Studies, forthcoming.

  • Chabakauri, G., and O. Rytchkov, 2021, “Asset Pricing with Index Investors,” Journal of Financial Economics 141, 195-216.

  • Chabakauri, G., and B. Y. Han, 2020, “Collateral Constraints and Asset Prices,” Journal of Financial Economics 138, 754-776.

  • Basak, S., G. Chabakauri, and M. D. Yavuz, 2019, “Investor Protection and Asset Prices,” Review of Financial Studies 32, 4905-4946.

  • Chabakauri, G., 2015, “Asset Pricing with Heterogeneous Preferences, Beliefs, and Portfolio Constraints,” Journal of Monetary Economics 75, 21-34.

  • Chabakauri, G., 2013, “Dynamic Equilibrium with Two Stocks, Heterogeneous Investors, and Portfolio Constraints,” Review of Financial Studies 26, 3104-3141.

  • Basak, S., and G. Chabakauri, 2012, “Dynamic Hedging in Incomplete Markets: A Simple Solution,” Review of Financial Studies 25, 1845-1896.

  • Basak, S., and G. Chabakauri, 2010, “Dynamic Mean-Variance Asset Allocation,” Review of Financial Studies 23, 2970-3016.

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