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Amir Akbari

Assistant Professor


Faculty of Business and Information Technology

Contact information

Business and Information Technology Building - Room 4036
North Oshawa
2000 Simcoe Street North
Oshawa, ON L1H 7K4

905.721.8668 ext. 3777

Research Topics

  • asset pricing
  • international finance
  • financial econometrics


Dr. Amir Akbari holds a PhD in Finance from McGill University. Prior to that, he received his MBA and Electrical Engineering degrees during his master's and bachelor's studies. His research is mainly in the areas of asset pricing, international finance, and financial econometrics.


  • PhD in Finance McGill University, Montreal, Canada
  • MBA in Finance Sharif University of Technology, Tehran
  • BSc in Electrical Engineering Sharif University of Technology, Tehran

Courses taught

Managerial Finance (BUSI 2410), University of Ontario Institute of Technology, Winter 2017, Winter 2018
Derivatives Securities (BUSI 3420), University of Ontario Institute of Technology, Fall 2016, Winter 2017, Fall 2017, Winter 2018
Financial Derivatives (FINE 448), McGill University, Summer 2013

Research and expertise

  • SSHRC Small Research Grants Program, UOIT, 2017
  • National Bank Financial Group PhD Fellowship, 2013-2014
  • Graduate Excellence Award, 2013-2014
  • Marcel A. Desautels PhD fellowship, 2012-2013
  • Doctoral Program Fellowship, McGill University, 2011-2015
  • McGill University International Doctoral Award, 2010-2013
  • Provost's Graduate Fellowship, McGill University, 2010-2011
  • AbbasZade fund, visiting student at University of California at Davis, 2007
  • Professor of the Year of Faculty of Business and IT, UOIT, 2017
  • Excellence in Teaching Award, McGill University, 2014
  • Empirical Asset Pricing
  • Financial Econometrics
  • International Finance


  • Invited seminars and conference presentations
    • Society for Economic Dynamics, 2018, Mexico City, Mexico
    • EMG-ECB Workshop on International Capital Flows, 2018, London, U.K.
    • Fed/UMD Short-Term Funding Conference*, 2018, Washington, D.C.
    • China International Conference in Finance*, 2018, Tianjin, China
    • Asian Finance Association, 2018, Tokyo, Japan
    • Finance Down Under Conference*, 2018, Melbourne, Australia
    • Finance Management Association Asia Pacific*, 2018, Hong Kong
    • International Finance and Banking Society, 2017, Oxford, U.K.
    • Finance Management Association, 2017, Boston, Massachusetts
    • Northern Finance Association, 2017, Halifax, Nova Scotia
    • International Workshop on Financial System Architecture & Stability*, 2017, Montreal, Québec
    • Conference on Asia-Pacific Financial Markets*, 2017, Seoul, Korea
    • Telfer Accounting and Finance Conference*, 2016, Ottawa, Ontario
    • World Banking and Finance Symposium, 2016, Dubai, United Arab Emirates
    • HEC-McGill Finance Doctoral Workshop; 2016, Montreal, Québec
    • European Finance Association*, 2015, Vienna, Austria
    • International Conference of the French Finance Association (AFFI), 2015, Cergy, France
    • Midwest Finance Association, 2015, Chicago, Illinois
    • San Diego State University, 2015, San Diego, California
    • Finance Management Association, 2015, Orlando, Florida
    • Northern Finance Association, 2015, Banff, Alberta
    • Finance Management Association European, 2015, Venice, Italy
    • European Financial Management Association, 2015, Breukelen, Netherlands
    • Econometric Society World Congress, 2015, Montreal, Québec
  • Papers under review at journals and circulating at conferences
    • Amir Akbari, Francesca Carrieri and Aytek Malkhozov, Can Cross-Border Funding Frictions Explain Financial Integration Reversals?, 2017.
    • Amir Akbari, Lilian Ng and Bruno Solnik, Integrated Markets: Economic or Financial Integration?, 2017.
    • Amir Akbari and Francesca Carrieri, Currency Risk or Intertemporal Risk: Which Matters More for International Asset Pricing?, 2016.
    • Amir Akbari, Reversal in Market Integration: a Funding Liquidity Explanation, 2015.
    • Amir Akbari and Francesca Carrieri, Prices of Risk and the Business Cycle, 2015.