Marios Panayides

Marios Panayides, Associate Professor of Finance earned a Ph.D. from Yale University, an M.A. in statistics from Yale University, an M.A. in mathematical sciences from Oxford University, and a bachelor’s degree in mathematical sciences with First Class Honors from Oxford University. His research interests include market microstructure, market efficiency, information dissemination, econometric techniques, and industrial organization. His work has appeared in top finance journals, including the Journal of Financial Economics, Journal of Financial and Quantitative Analysis and Journal of Financial Intermediation, and has been presented at numerous finance conferences. He earned the Best Paper Award at the Multinational Finance Society Meetings in 2015 and the Financial Management Association Annual Meeting in 2009. He also has multiple teaching awards both at the undergraduate and graduate levels (MBA). Prior to coming to the University of Oklahoma, he was a faculty member at the University of Utah, University of Pittsburgh, and University of Cyprus. Panayides was also a visiting professor at Bocconi University and Université Paris-Dauphine.