Educational background
PhD in Social science, Economics, period from 2004 to 2008, Vilnius University
Dissertation title: ?THE APPLICATION OF GENERALIZED AUTOREGRESSIVE CONDITIONAL
HETEROSKEDASTICITY MODELS (GARCH) TO LITHUANIAN STOCK MARKET“
MA in Accounting, finance and banking, period from 2001 to 2003, Vilnius University
BA in Business administration and management, period from 1997 to 2001, Vilnius University
Licenses and certificates
CEFA (Certified European Financial Analyst) diploma, EFFAS (The European Federation of financial analyst
societes).
IFID (International fixed income and derivatives) certificate, ICMA Centre, Henley Business School, University
of Reading
Financial broker license
Work experience
From September, 2003 till now Vilnius University, Associate professor.
From September, 2012 till now central Bank of Lithuania, Senior analyst, Asset allocation division, Investment department.
From September, 2010 till June, 2016 Mykolas Romeris university, Associate professor.
From October, 2011 till September, 2012 Equity analyst, Swedbank LС&I.
From August, 2008 till October, 2011 Financial broker at local commercial bank.
Areas of research interests
Financial markets. Banking. Monetary policy. Public finance. Financial institutions. International finance.
Teaching Courses
Bank management. International finance. Risk management in commercial banks. Corporate finance and valuation.
Investment management. Emerging markets’ security analysis. Portfolio construction and management. Analysis of
financial institutions. Monetary policy. Financial Ethics.