Viesprofesori un vieslektori

Inna Romānova Dr.

Viesprofesors
Starptautiskā finanšu vadība

Doctor of Economics (University of Latvia, 2008)

Nozīmīgākā profesionālā pieredze

  • Professor of the Faculty of Economics and Social Sciences, University of Latvia, since 2019
  • Vice Dean of the Faculty of Business, Management and Economics, University of Latvia, 2017-2024
  • Director of the professional Master’s degree program in Financial Economics, since 2011
  • Affiliated Professor of the University of Malta, since 2019

Aktuālais pētniecības darbs 

  • Financial Management, Financial Technologies and Risk Management

Galvenās publikācijas 

  • Kudinska M., Solovjova, I. and Romānova, I. (2024), Financial Sector Development in New EU Member States, Grima, S., Romānova, I., Noja, G.G. and Dorożyński, T. (Ed.) Economic Development and Resilience by EU Member States (Contemporary Studies in Economic and Financial Analysis, Vol. 115), Emerald Publishing Limited, Leeds, pp. 119-139. (Scopus). https://doi.org/10.1108/S1569-375920240000115008
  • Koernert J., Romanova, I., Kudinska, M. (2024) Developments in the banking systems of Estonia, Latvia and Lithuania since their EU accession. Betriebswirtschaftliche Forschung und Praxis, Issue 3. (Web of Science). https://datenbank.nwb.de/Ausgaben/KXVEGSEP45/2024/3/ 
  • Grima S, Rupeika-Apoga R, Kizilkaya M, Romānova I, Dalli Gonzi R, Jakovljevic M. A Proactive Approach to Identify the Exposure Risk to COVID-19: Validation of the Pandemic Risk Exposure Measurement (PREM) Model Using Real-World Data. Risk Manag Health Policy. 2021; 4775-4787. (Scopus, Web of Science). https://doi.org/10.2147/RMHP.S341500
  • Grima S., Spiteri J., Romānova I. (2020) A STEEP framework analysis of the key factors impacting the use of blockchain technology in the insurance industry // The Geneva Papers on Risk and Insurance-Issues and Practice (Scopus, Web of Science). https://doi.org/10.1057/s41288-020-00162-x
  • Grima S., Kizilkaya M., Rupeika-Apoga R., Romānova I., Dalli Gonzi R., Jakovljevic M. (2020) A Country Pandemic Risk Exposure Measurement Model // Risk Management and Healthcare Policy, 13. (Scopus). https://doi.org/10.2147/RMHP.S270553
  • Grima S., Spiteri J., Romānova I. (2020) The Challenges for Regulation and Control in an Environment of Rapid Technological Innovations // Insurtech: A Legal and Regulatory View, Springer. (Scopus). https://doi.org/10.1007/978-3-030-27386-6_4

Co-editor (books):

  • Grima S., Romānova I., Noja G., Dorożyński D. (ed.) Economic Development and Resilience by EU Member States. Contemporary Studies in Economic and Financial Analysis, Volume 115, Emerald Group Publishing Limited, 2024. (Scopus). https://doi.org/10.1108/S1569-375920240000115018
  • Grima S., Özen E., Romānova I. (ed.) Managing Risk and Decision Making in Times of Economic Distress. Part A. Contemporary Studies in Economic and Financial Analysis, Volume 108A, – Emerald Group Publishing Limited, 2022. (Scopus). https://doi.org/10.1108/S1569-37592022108A
  • Grima S., Özen E., Romānova I. (ed.) Managing Risk and Decision Making in Times of Economic Distress. Part B. Contemporary Studies in Economic and Financial Analysis, Volume 108B, – Emerald Group Publishing Limited, 2022. (Scopus). https://doi.org/10.1108/S1569-37592022108B