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Silviu Glavan

Silviu Glavan received his Ph.D. in Business Administration and Quantitative Methods from Universidad Carlos III de Madrid and a Master Degree in Statistics and Optimization from the Bucharest University. In addition to his academic experience, he has spent several years as a consultant in the financial services industry. Previously to join IE University in 2013, he served as a teaching assistant for several accounting and finance courses at Carlos III University and, after his Ph.D. completion, he taught both accounting and finance courses at University of Navarra, as an Assistant Professor. His main research focus is situated at the convergence of accounting and finance, by studying the impact of the “fair value accounting” for financial instruments on the real decisions (portfolio allocation / risk management) of the financial institutions. Other lines of research are the banking regulation and the financial risk management.

Academic Background

• Ph.D. in Business Administration and Quantitative Methods, Universidad Carlos III, Spain (2010)

• Master in Statistics and Optimization, University of Bucharest, Romania (2000)

• Bachelor in Mathematics, University of Bucharest, Romania (1998)

Academic Experience

• Assistant Professor, IE Business School (2013-present)

• Assistant Professor, Navarra University (2010-2013)

• Teaching Assistant, Carlos III University (2003-2010)

Name
Silviu
Last Name
Glavan
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