Tamara Mauricė | ISM
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Tamara Mauricė
Short description / mini CV: 
Assistant Professor Dr. Tamara Mauricė is a Finance Programme Director at ISM. Tamara holds a Doctoral degree in Management and Master degree in Economics from ISM. Tamara works as Chief Commercial Officer at the Royal Dutch Shell representative office in the Baltics. She has been investing in the FOREX market since 2007 and is keen on market dynamics, technical and fundamental analysis.
 
Research area:
- Portfolio risk management in crisis periods

Publications

Mariničevaitė, T., & Mauricas, Ž. (2017). The usage of safe haven currencies in mitigating portfolio risk during market turmoil periods.

Mariničevaitė, T., & Mauricas, Ž. (2017). The usage of safe haven currencies in mitigating portfolio risk during market turmoil periods. Taikomoji ekonomika:sisteminiai tyrimai, 11(1), 145-164.

Mauricas, Ž., Darškuvienė, V., & Mariničevaitė, T. (2017). Stock market participation puzzle in emerging economies: the case of Lithuania.

Mauricas, Ž., Darškuvienė, V., & Mariničevaitė, T. (2017). Stock market participation puzzle in emerging economies: the case of Lithuania. Organizations and Markets in Emerging Economies, 8(2(16)), 225-243

Mariničevaitė, T., & Ražauskaitė, J. (2015). The relevance of CBOE Volatility Index to Stock Markets in Emerging Economies 

Mariničevaitė, T., Ražauskaitė, J. (2015). The Relevance of CBOE Volatility Index to Stock Markets in Emerging Economies. Organizations and Markets in Emerging Economies, 6(1), 93-106.

Mariničevaitė, T. (2015). International Financial Integration - Is there a new normal? 

Mariničevaitė, T. (2015). International Financial Integration - Is there a new normal? 13th INFINITI Conference on international Finance, Slovenia, Ljubljana, 8-9 June 2015.