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Paulo F. Maio

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Hanken School of Economics

Department of Finance and Statistics

Arkadiankatu, 22

00101 Helsinki, Finland

Email: paulo.maioAThanken.fi

Paulo F. Maio is a Professor of Finance at Hanken School of Economics. He holds a PhD in Finance from Nova School of Business and Economics. His research interests are in the field of Asset Pricing, covering different topics such as the predictability of asset returns; multifactor models and cross-sectional asset pricing; present-value relations; macro-finance; and the interplay between financial markets and the economy. His research has been published in academic outlets such as Critical Finance Review, Journal of Financial Economics, Journal of Financial and Quantitative Analysis, Management Science, and Review of Finance. He has presented his research in numerous conferences, workshops, and seminars.