Riaz Ali


ORCID identifier: https://orcid.org/0000-0002-7809-5359

Areas of expertise
Financial Economics, Asset Pricing, Behavioral Finance, Portfolio Management


I am a Post Doctoral Researcher in Finance at the
Department of Accounting and Finance at Turku School of Economics. I did my Doctoral studies at the Åbo Akademi
University and defended my thesis in 2021. My dissertation topic was related to Asset Pricing, Portfolio Management, and Behavioral Finance. I did MA in
Economics from Central Michigan University, USA, and an MBA major in Finance
from the University of Rajshahi, Bangladesh.

Before joining Turku School of Economics, I worked in different
academic positions at North South University, Central Michigan University, and
Dhaka City College.


My current research focuses on a range of topics related to Financial Economics, Equity Market, Asset Pricing, Behavioral Finance, etc. I published articles in few well-recognized international journals like the International Review of Economics and Finance, The North American Journal of Economics and Finance, The Quarterly Review of Economics and Finance, Emerging Markets Finance and Trade, and Asia-Pacific Journal of Accounting & Economics. I am also a reviewer of a few renowned journals like The European Journal of FinanceFinance Research lettersInternational Review of Economics and FinanceFinancial Innovation, Global Business Review.


Derivative Markets and Instruments Spring 2021 (master level course, 6 cr.)

Bachelor’s thesis Supervision, Department of Accounting and Finance, Spring 2021

Master’s thesis Supervision, Department of Accounting and Finance, Spring 2021

Ph.D. student Supervision 


Last updated on 2022-25-06 at 20:04