Person: Anastasia Kartasheva
cris.customurl | Anastasia_Kartasheva | |
cris.customurl.old | hsg-8ed96974-5a14-4bbf-adbd-62e6de6032ee | |
dc.date.accessioned | 2023-04-13T11:36:20Z | |
dc.date.available | 2023-04-13T11:36:20Z | |
dc.identifier.uri | https://www.alexandria.unisg.ch/handle/20.500.14171/57172 | |
dc.title | Anastasia Kartasheva | |
dspace.entity.type | Person | |
dspace.file.type | personal picture | |
dspace.object.owner | anastasia.kartasheva@unisg.ch | |
dspace.orcid.authenticated | 2025-06-05T08:03:16.832511 | |
dspace.orcid.scope | /authenticate | |
dspace.orcid.scope | /read-limited | |
dspace.orcid.scope | /activities/update | |
dspace.orcid.scope | /person/update | |
dspace.orcid.sync-fundings | DISABLED | |
dspace.orcid.sync-mode | MANUAL | |
dspace.orcid.sync-publications | ALL | |
oairecerif.identifier.url | https://www.ivw.unisg.ch/wp-content/uploads/2021/08/Kartasheva-CV-17-08-2021.pdf | |
person.email | anastasia.kartasheva@unisg.ch | |
person.familyName | Kartasheva | |
person.givenName | Anastasia | |
person.identifier.orcid | 0000-0001-5687-7651 | |
stgallen.hsg.entityId | 8ed96974-5a14-4bbf-adbd-62e6de6032ee | |
stgallen.person.additionalInfo | <p><strong>Referee Activity:</strong></p><ul><li>Canadian Journal of Economics </li><li>Economic Theory</li><li>Geneva Papers on Risk and Insurance</li><li>International Economic Review</li><li>Journal of Finance</li><li>Journal of Financial Intermediation</li><li>Journal of Risk and Insurance</li><li>Management Science</li><li>National Science Foundation, USA</li><li>RAND Journal of Economics</li><li>Review of Finance</li><li>Review of Financial Studies </li></ul><p></p> | |
stgallen.person.additionalInfoDe | <p><strong>Referee </strong><strong>Activity:</strong></p><ul><li>Canadian Journal of Economics</li><li>Economic Theory</li><li>Geneva Papers on Risk and Insurance</li><li>International Economic Review</li><li>Journal of Finance</li><li>Journal of Financial Intermediation</li><li>Journal of Risk and Insurance</li><li>Management Science</li><li>National Science Foundation, USA</li><li>RAND Journal of Economics</li><li>Review of Finance </li><li>Review of Financial Studies </li></ul><p></p> | |
stgallen.person.affiliation | <ul><li>American Economic Association</li><li>American Finance Association</li><li>European Group of Risk and Insurance Economists (EGRIE)</li><li>Finance Theory Group </li><li>Western Finance Association </li></ul> | |
stgallen.person.affiliationDe | <ul><li>American Economic Association</li><li>American Finance Association</li><li>European Group of Risk and Insurance Economists (EGRIE)</li><li>Finance Theory Group </li><li>Western Finance Association </li></ul> | |
stgallen.person.award | Wharton Risk Management and Decision Processes Center Fellowship, 2010<br />Wharton Dean’s Research Fund, 2010, 2011<br />Rodney L. White Center for Financial Research Grant, 2008, 2009, 2010 <br />Global Association of Risk Professionals (GARP), Research Program Grant, 2009 <br />Robinson College of Business, Georgia State University Research Grant, 2006 <br />Marie Currie European Commission Post-Doctoral Fellowship, 2004 <br />Toulouse School of Economics, Graduate Studies Scholarship, 1998-2003 <br />Center for Institutional Reform and Informal Sector at the University of Maryland, Individual Research Grant, 1997 <br />Russian Scientific Fund for Humanities, Russian Academy of Science Research Grant 1997, 1998 | |
stgallen.person.awardDe | Wharton Risk Management and Decision Processes Center Fellowship, 2010<br />Wharton Dean’s Research Fund, 2010, 2011<br />Rodney L. White Center for Financial Research Grant, 2008, 2009, 2010 <br />Global Association of Risk Professionals (GARP), Research Program Grant, 2009 <br />Robinson College of Business, Georgia State University Research Grant, 2006 <br />Marie Currie European Commission Post-Doctoral Fellowship, 2004 <br />Toulouse School of Economics, Graduate Studies Scholarship, 1998-2003 <br />Center for Institutional Reform and Informal Sector at the University of Maryland, Individual Research Grant, 1997 <br />Russian Scientific Fund for Humanities, Russian Academy of Science Research Grant 1997, 1998 | |
stgallen.person.career | <p>2000-2003: Short-term Consultant, World Bank, Washington DC<br />2004-2007: Assistant Professor, Department of Risk Management and Insurance, J. Mack Robinson College of Business, Georgia State University, Atlanta, USA <br />2007-2012: Assistant Professor, Department of Insurance and Risk Management, The Wharton School, University of Pennsylvania, Philadelphia, USA<br />2012-2015: Economist, Financial Systems and Regulation Section, Monetary and Economic Department, Bank for International Settlements, Basel, Switzerland<br />2015-2018: Economic Adviser, International Association of Insurance Supervisors, Bank for International Settlements, Basel, Switzerland<br />Since 2018: Senior Research Fellow, Wharton Alternative Investments Initiative, The Wharton School, University of Pennsylvania<br />Since 2019: Senior Research Fellow, Institute of Insurance Economics, University of St. Gallen </p><p></p> | |
stgallen.person.careerDe | <p>2000-2003: Short-term Consultant, World Bank, Washington DC<br />2004-2007: Assistant Professor, Department of Risk Management and Insurance, J. Mack Robinson College of Business, Georgia State University, Atlanta, USA <br />2007-2012: Assistant Professor, Department of Insurance and Risk Management, The Wharton School, University of Pennsylvania, Philadelphia, USA<br />2012-2015: Economist, Financial Systems and Regulation Section, Monetary and Economic Department, Bank for International Settlements, Basel, Switzerland<br />2015-2018: Economic Adviser, International Association of Insurance Supervisors, Bank for International Settlements, Basel, Switzerland<br />Since 2018: Senior Research Fellow, Wharton Alternative Investments Initiative, The Wharton School, University of Pennsylvania<br />Since 2019: Senior Research Fellow, Institute of Insurance Economics, University of St. Gallen </p><p></p> | |
stgallen.person.education | <p>1997: BS in Mathematical Economics, Lonomosov Moscow State University, Russia <br />1998: MA in Economics, New Economic School, Moscow, Russia <br />1999: MS in Economic Theory and Econometrics, with highest honors, Toulouse School of Economics, University of Toulouse, France <br />2004: PhD in Economics, with highest honors, Toulouse School of Economics, University of Toulouse, France </p><p></p> | |
stgallen.person.educationDe | <p>1997: BS in Mathematical Economics, Lonomosov Moscow State University, Russia <br />1998: MA in Economics, New Economic School, Moscow, Russia<br />1999: MS in Economic Theory and Econometrics, with highest honors, Toulouse School of Economics, University of Toulouse, France<br />2004: PhD in Economics, with highest honors, Toulouse School of Economics, University of Toulouse, France </p><p></p> | |
stgallen.person.fieldsOfResarch | Insurability of Pandemic Risk | |
stgallen.person.fieldsOfResarch | Liquidity Risk in Insurance and Macroprudential Regulation | |
stgallen.person.fieldsOfResarch | Private Equity in Insurance | |
stgallen.person.fieldsOfResarch | Global Insurance Market | |
stgallen.person.fieldsOfResarch | Credit Rating Agencies | |
stgallen.person.fieldsOfResarchDe | Insurability of Pandemic Risk | |
stgallen.person.fieldsOfResarchDe | Liquidity Risk in Insurance and Macroprudential Regulation | |
stgallen.person.fieldsOfResarchDe | Private Equity in Insurance | |
stgallen.person.fieldsOfResarchDe | Global Insurance Market | |
stgallen.person.fieldsOfResarchDe | Credit Rating Agencies | |
stgallen.person.furtherFieldsOfResarch | International Financial Regulation | |
stgallen.person.furtherFieldsOfResarch | Banking | |
stgallen.person.furtherFieldsOfResarchDe | International Financial Regulation | |
stgallen.person.furtherFieldsOfResarchDe | Banking | |
stgallen.person.mainFocuses | Insurance | |
stgallen.person.mainFocuses | Financial Intermediation | |
stgallen.person.mainFocuses | Systemic Risk | |
stgallen.person.mainFocusesDe | Insurance | |
stgallen.person.mainFocusesDe | Financial Intermediation | |
stgallen.person.mainFocusesDe | Systemic Risk | |
stgallen.person.phone | +41 71 224 7995 | |
stgallen.person.project | <ul><li>Private Equity Investments in the Life Insurance Industry</li><li>Structure and Complexity of the Global Insurance Groups</li><li>Effects of G20 post-Crisis Reforms on TBTF Premium</li><li>Reaching for Rating in Catastrophe Insurance Market</li></ul> | |
stgallen.person.projectDe | <ul><li>Private Equity Investments in the Life Insurance Industry</li><li>Structure and Complexity of the Global Insurance Groups</li><li>Effects of G20 post-Crisis Reforms on TBTF Premium</li><li>Reaching for Rating in Catastrophe Insurance Market</li></ul> | |
stgallen.person.researchCooperation | <ul><li><a href="https://www.bf.uzh.ch/de/persons/basten-christoph">Christoph Basten</a>, Department of Banking and Finance, University of Zurich<br /></li><li><a href="https://www0.gsb.columbia.edu/faculty/pbolton/">Patrick Bolton</a>, Graduate School of Business and Department of Economics, Columbia University </li><li><a href="https://kelley.iu.edu/anellul/">Andrew Ellul</a>, School of Business, Indiana University </li><li><a href="https://www8.gsb.columbia.edu/cbs-directory/detail/wj2006">Wei Jiang</a>, Graduate School of Business and Department of Economics, Columbia University </li><li><a href="https://www.bf.uzh.ch/en/persons/ongena-steven">Steven Ongena</a>, Department of Banking and Finance, University of Zurich</li><li><a href="https://fnce.wharton.upenn.edu/profile/yilmaz/">Bilge Yilmaz</a>, Wharton Private Equity Professor, Professor of Finance, Wharton School, University of Pennsylvania </li></ul><p></p> | |
stgallen.person.researchCooperationDe | <ul><li><a href="https://www.bf.uzh.ch/de/persons/basten-christoph">Christoph Basten</a>, Department of Banking and Finance, University of Zurich</li><li><a href="https://www0.gsb.columbia.edu/faculty/pbolton/">Patrick Bolton</a>, Graduate School of Business and Department of Economics, Columbia University</li><li><a href="https://kelley.iu.edu/anellul/">Andrew Ellul</a>, School of Business, Indiana University</li><li><a href="https://www8.gsb.columbia.edu/cbs-directory/detail/wj2006">Wei Jiang</a>, Graduate School of Business and Department of Economics, Columbia University</li><li><a href="https://www.bf.uzh.ch/en/persons/ongena-steven">Steven Ongena</a>, Department of Banking and Finance, University of Zurich</li><li><a href="https://fnce.wharton.upenn.edu/profile/yilmaz/">Bilge Yilmaz</a>, Wharton Private Equity Professor, Professor of Finance, Wharton School, University of Pennsylvania</li></ul> | |
stgallen.person.talk | <ul><li>2015: Bundesbank seminar</li><li>2015: University of St Gallen, Finance department seminar</li><li>2015: NBER Summer Institute</li><li>2015: Financial Intermediation Research Society Conference</li><li>2015: Society of Financial Studies Cavalcade Conference</li><li>2015: Stockholm House of Finance Conference</li><li>2016: Bank of Thailand seminar</li><li>2016: De Nederlandsche Bank conference2016: University of Amsterdam2016: Financial Intermediation Research Society Conference</li><li>2016: University of Geneva</li><li>2016: Basel Committee of Banking Supervision Research Task Force meeting</li><li>2016: American Economic Association meeting</li><li>2017: Bank for International Settlements Hong Kong Office seminar</li><li>2017: Financial Intermediation Research Society Conference</li><li>2017: European Winter Finance Conference</li><li>2018: Bank of England/CEPR conference</li><li>2018: European Group Risk and Insurance Economists meeting</li><li>2018: European Finance Association Annual Conference</li><li>2018: NYFed/NYU Financial Intermediation Conference</li><li>2018: Banque de France seminar</li><li>2018: Science Po Paris, France seminar</li><li>2018: EPFL Lausanne seminar</li><li>2018: Imperial/CEPR Symposium in Financial Economics</li><li>2018: ETH Risk Center seminar</li><li>2018: LSE Paul Wolley Center Conference</li><li>2018: Basel Committee of Banking Supervision Research Task Force meeting</li><li>2018: European Central Bank Research Department seminar</li><li>2018: European Systemic Risk Board committee meeting</li><li>2018: University of St Gallen, Finance department seminar</li><li>2019: Financial Intermediation Research Society Conference</li><li>2019: NBER Summer Institute</li><li>2019: NBER Insurance Group meeting</li><li>2019: American Economic Association Annual Meeting</li><li>2019: Finance Meets Insurance Conference, University of Zurich </li><li>2020: ETH Risk Center</li><li>2020: University of Torino</li><li>2020: Swiss Finance Institute Annual Conference</li><li>2021: European Winter Finance Conference</li><li>2021: Swiss Winter Conference on Financial Intermediation </li></ul> | |
stgallen.person.talkDe | <ul><li>2015: Bundesbank seminar</li><li>2015: University of St Gallen, Finance department seminar</li><li>2015: NBER Summer Institute</li><li>2015: Financial Intermediation Research Society Conference</li><li>2015: Society of Financial Studies Cavalcade Conference</li><li>2015: Stockholm House of Finance Conference</li><li>2016: Bank of Thailand seminar</li><li>2016: De Nederlandsche Bank conference</li><li>2016: University of Amsterdam</li><li>2016: Financial Intermediation Research Society Conference</li><li>2016: University of Geneva</li><li>2016: Basel Committee of Banking Supervision Research Task Force meeting</li><li>2016: American Economic Association meeting</li><li>2017: Bank for International Settlements Hong Kong Office seminar</li><li>2017: Financial Intermediation Research Society Conference</li><li>2017: European Winter Finance Conference</li><li>2018: Bank of England/CEPR conference</li><li>2018: European Group Risk and Insurance Economists meeting</li><li>2018: European Finance Association Annual Conference</li><li>2018: NYFed/NYU Financial Intermediation Conference</li><li>2018: Banque de France seminar</li><li>2018: Science Po Paris, France seminar</li><li>2018: EPFL Lausanne seminar</li><li>2018: Imperial/CEPR Symposium in Financial Economics</li><li>2018: ETH Risk Center seminar</li><li>2018: LSE Paul Wolley Center Conference</li><li>2018: Basel Committee of Banking Supervision Research Task Force meeting</li><li>2018: European Central Bank Research Department seminar</li><li>2018: European Systemic Risk Board committee meeting</li><li>2018: University of St Gallen, Finance department seminar</li><li>2019: Financial Intermediation Research Society Conference</li><li>2019: NBER Summer Institute</li><li>2019: NBER Insurance Group meeting</li><li>2019: American Economic Association Annual Meeting</li><li>2019: Finance Meets Insurance Conference, University of Zurich</li><li>2020: ETH Risk Center</li><li>2020: University of Torino</li><li>2020: Swiss Finance Institute Annual Conference</li><li>2021: European Winter Finance Conference</li><li>2021: Swiss Winter Conference on Financial Intermediation</li></ul> | |
stgallen.person.teaching | Risk Management (Wharton undergraduate)<br />Financial Strategies and Analysis: Insurance (Wharton MBA elective) course<br />Contract Theory and Applications (Wharton PhD)<br />Economic Theory of Risk (Georgia State University undergraduate elective)<br />Game Theory and Mechanism Design (Georgia State University, PhD) <br /> | |
stgallen.person.teachingDe | Risk Management (Wharton undergraduate)<br />Financial Strategies and Analysis: Insurance (Wharton MBA elective) course<br />Contract Theory and Applications (Wharton PhD)<br />Economic Theory of Risk (Georgia State University undergraduate elective)<br />Game Theory and Mechanism Design (Georgia State University, PhD) <br /> | |
stgallen.person.title | Prof. Dr. |
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