Author / Stolin David

Asset Management, Corporate Governance, Fintech

Economics / Finance
David Stolin is Professor of Finance at Toulouse Business School in France. He holds an M.Sc. and a Ph.D. in Finance from London Business School, and a B.S. in Mathematics from Ohio State University. Stolin has published in leading academic journals, such as Journal of Finance, Management Science, and Journal of Financial and Quantitative Analysis. His research has also been featured in the press, including The Financial Times, The Times and Le Monde.
 
  • Teaching Areas: Corporate Finance and Investments
  • Research Areas:  Asset Management, Corporate Governance, Fintech
  • Research Expertise:  Portfolio Performance Evaluation, Proxy Voting, Textual Analysis in Finance