Dimitris Kenourgios was born in 1973 in Athens. He is Professor of Finance at the National and Kapodistrian University of Athens (NKUA)Department of Economics.He received a BSc degree from NKUA, Department of Economics (1995), MSc degree in Money, Banking and Finance from the University of Birmingham (UK), Department of Economics (1996), and PhD degree in Finance from the NKUA, Department of Economics (2000). 

Appointments:
He has taught at the Athens University of Economics and Business (Department of Accounting and Finance and Department of International and European Economic Studies), the University of Piraeus (Department of Banking and Financial Management), the University of Thessaly (Department of Economics), the Hellenic Open University, the Open University of Cyprus, the Piraeus University of Applied Science, the University of Kentucky MBA in Greece and at master programs organized by the University of Strathclyde (UK) and University of Wales (UK) in Greece. 

Among other journals, his work appears in Journal of International Financial Markets, Institutions & Money, International Review of Financial Analysis, The European Journal of Finance, Small Business Economics, International Journal of Finance and Economics, Economic Modelling, International Review of Economics and Finance, Quarterly Review of Economics and Finance, Journal of Multinational Financial Management, North American Journal of Economics and Finance, Journal of Policy Modeling, International Journal of Banking, Accounting and Finance, Resources Policy, The Manchester School, Applied Financial Economics, Research in International Business and Finance, Finance Research Letters, Multinational Finance Journal, Journal of Economic Studies, Journal of Economics and Finance, Applied Economics Letters.

His research work has also been presented extensively in international academic conferences. He has served as a referee in several academic journals, and a member of editorial advisory boards of international academic journals.

He has an extensive experience in consulting, executive training and e-learning services in the areas of investments, financial derivatives, capital markets and corporate finance. 

Research interests:  Financial contagion; Emerging financial markets; SMEs; Alternative investments; Financial modelling; Quantitative easing; Risk management.

https://orcid.org/0000-0003-2676-2524

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Scientific Editing of the Books:

Principles of Corporate Finance, Brealey-Myers-Allen (in Greek), New Edition (2016)

Investments, Bodie-Kane-Marcus (in Greek, 2014)

Modern Portfolio Theory and Investment Analysis, Elton-Gruber-Brown-Goetzmann (in Greek), 2018

Fundamentals of Financial Management, Brigham-Houston (in Greek), 2020