red. prof. dr.
Igor Lončarski
Govorilne ure
sreda ob 13:00
kabinet RZ-105
Prosim, če se za GU najavite po el. pošti. / Please make an office hours appointment via e-mail beforehand.
LinkedIn: Igor Lončarski (Odpre se v novem oknu)
Katedra
Katedra za denar in finance (redni član)
Življenjepis
Igor Lončarski je redni profesor za področje denarja in financ na Ekonomski fakulteti Univerze v Ljubljani ter vodja magistrskega programa Kvantitativne finance in aktuarstvo. Doktoriral je na Tilburg University na Nizozemskem (2007). Predhodno je opravljal funkcijo prodekana za znanstvenoraziskovalno delo in doktorski študij na UL EF. Predava dodiplomske in podiplomske predmete s področja modelov vrednotenja finančnih naložb, empiričnih financ, vrednotenja podjetij, poslovnih financ, vedenjskih financ in trajnostnih financ. Njegovi raziskovalni interesi so področjih vrednotenja finančnih naložb, kreditnega tveganja, finančnih trgov, manipulacije finančnih trgov, trajnostnih financ ter povezav med kakovostjo finančnega poročanja in uspešnostjo ter tveganjem podjetij. Članke objavlja v revijah, kot so Journal of Business Ethics, Journal of Corporate Finance, Financial Management, Financial Analysts Journal, Finance Research Letters, Journal of International Financial Markets, Institutions and Money, Research in International Business and Finance ter International Review of Financial Analysis. Opravlja funkcijo glavnega urednika revije Risk Management (Palgrave Macmillan/Springer) in področnega urednika revij Emerging Markets Review, International Review of Financial Analysis in Journal of Multinational Financial Management, Je tudi član uredniškega odbora revije Journal of Behavioral and Experimental Finance. Njegovo trenutno raziskovalno delo se osredotoča na linearne večfaktorske modele, zasebne finančne trge, manipulacijo finančnih trgov in trajnostne finance (finance biotske raznovrstnosti).
Predmeti
- Poslovne finance 1 (UPEŠ)
- Mergers and Acquisitions (IMB)
- Investments (IMB)
- Corporate Finance 1 (UPEŠ)
- Corporate Finance 2 (MAG)
- Poslovne finance 2 (MAG)
- Corporate Valuation & Financial Statement Analysis (MAG)
- Applied Asset Management (MAG)
- Sustainable finance (MAG)
- Behavioral Finance (MAG)
- Asset pricing Theory (MAG)
- Life and Pension Insurance
- Empirical finance (MAG)
- Quantitative behavioral finance (MAG)
- Praktično upravljanje premoženja (MAG)
- Vrednotenje in finančna analiza podjetij (MAG)
Izbrana raziskovalna dejavnost
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BOŽIČ, Renato, LONČARSKI, Igor
The effects of homeownership on stock demand : a housing assignments quasi-experiment
Journal of international financial markets, institutions & money. [Print ed.]. Jun. 2026, vol. 109, article no. 102324. ISSN 1042-4431. RUL, DOI: 10.1016/j.intfin.2026.102324 -
YUSIFZADA, Leyla, LONČARSKI, Igor, CZUPY, Gergely János, NAFFA, Helena
Return trade-offs between environmental and social pillars of ESG scores
Research in international business and finance. Mar. 2025, vol. 75, article no. 102779. ISSN 0275-5319. RUL, DOI: 10.1016/j.ribaf.2025.102779 -
Skočir Matevž, Lončarski Igor
On the importance of asset pricing factors in the relative valuation
Research in International Business and Finance, Jun. 2024, vol. 70, part b, article no. 102366 -
ANAND, Arsh, VANPÉE, Rosanne, LONČARSKI, Igor
Sustainability and sovereign credit risk
International Review of financial analysis. [Print ed.]. Mar. 2023, vol. 86, article no. 102494, ISSN 1057-5219. DOI: 10.1016/j.irfa.2023.102494. -
BATTEN, Jonathan A., LONČARSKI, Igor, SZILAGYI, Peter G.
Financial Market Manipulation, Whistleblowing, and the Common Good: Evidence from the LIBOR Scandal
Abacus, 58(1), 1-23, 2022 -
BATTEN, Jonathan, LONČARSKI, Igor, SZILAGYI, Peter G.
Strategic insider trading in foreign exchange markets
Journal of corporate finance, ISSN 0929-1199, 2021 -
SLAPNIK, Ursula, LONČARSKI, Igor
On the information content of sovereign credit rating reports: Improving the predictability of rating transitions
Journal of International Financial Markets, Institutions and Money, 73, 101344, 2021 -
LONČARSKI, Igor, MARINČ, Matej
The political economy of relationship banking
LONČARSKI, Igor, MARINČ, Matej. The political economy of relationship banking. Research in international business and finance, 2020, doi: 10.1016/j.ribaf.2019.101078 -
LONČARSKI, Igor and VIDOVIČ, Luka
Sorting out the financials: making economic sense out of statistical factors
Finance research letters, ISSN 1544-6123, Dec. 2019, vol. 31, p. 110-118 -
LONČARSKI, Igor and SKOČIR, Matevž
Multi-factor asset pricing models : factor construction choices and the revisit of pricing factors
Journal of International Financial Markets, Institutions & Money, ISSN 1042-4431. Jul. 2018, vol. 55, p. 65-80 -
BATTEN, Jonathan, LONČARSKI, Igor, SZILAGYI, Peter G.
When Kamay met Hill : organisational ethics in practice
Journal of business ethics, Feb. 2018, vol. 147, iss. 4, p. 779-792. -
Marko KOŠAK, Shaofang LI, Igor LONČARSKI, Matej MARINČ
Quality of Bank Capital and Bank Lending Behavior During the Global Financial Crisis
International Review of Financial Analysis, Volume 37, January 2015, Pages 168–183 -
DONG, Ming, LONČARSKI Igor, ter HORST, Jenke, VELD, Chris
What Drives Security Issuance Decisions: Market Timing, Pecking Order, or Both?
Financial Management, Volume 41, Issue 3, pages 637–663, Fall 2012 -
LONČARSKI, Igor, HORST, Jenke ter, VELD, Chris
The Rise and Demise of the Convertible Arbitrage Strategy
Financial Analysts Journal, Sep. 2009, vol. 65, no. 5, p. 35-50