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Prof. Duc Khuong Nguyen

Dr. Duc Khuong Nguyen holds a Ph.D. in Finance from the University of Grenoble Alpes (France) and obtained his HDR (Habilitation for Supervising Doctoral Research) in Management Science from the CY Cergy Paris University (France). In 2013, he completed the "Leaders in Development" Executive Education program at Harvard UniversityJohn F. Kennedy School of Government.

 

Professor Nguyen joined De Vinci Higher Education as Director of International Development and EMLV Business School (AACSB/AMBA/EFMDa accredited) as Associate Dean (Managing Director) in September 2023. He assumed the role of Acting Dean of EMLV Business School from December 1, 2023.

 

Before joining De Vinci Higher Education, Professor Nguyen held various positions at IPAG Business School, including, among others, Department Head, Dean for Research, Dean of Faculty and Research, and Interim Director General. Previously, he served as Professor of Finance and Head of the Department of Finance and Information Systems at ISC Paris Business School, Lecturer at Grenoble Graduate Institute of Business, and Research and Teaching Assistant at EM Lyon Business School.

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Professor Nguyen is a Visiting Professor at Vietnam National University, Hanoi - International School, and Prague University of Economics and Business. He was a Non-Resident Research Fellow at Paul H. O’Neill School of Public and Environmental Affairs, Indiana University, and a Research Associate at the Department of Finance, Centre d'Economie de la Sorbonne (CES), University Paris 1 Panthéon-Sorbonne (2011-2015).

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He is the Co-Editor-in-Chief of Politická ekonomie (Political Economy), Editor of Annals of Operations Research, Co-Editor for the Middle East, Asia, and the Pacific of Journal of Economic Asymmetries; Department Editor of Journal of Forecasting, Subject Editor at Emerging Markets Review, Journal of International Financial Markets, Institutions, and Money; Associate Editor at Finance Research Letters, International Review of Financial Analysis, Environmental Modeling & Assessment; and Area Editor at Research in International Business and Finance.

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His principal research areas concern asset pricing, financial markets, international finance, corporate sustainability, energy and climate finance, and risk management. His most recent articles are forthcoming and published in refereed journals such as European Journal of Operational Research, Journal of Banking and Finance, Journal of Economic Dynamics and Control, Journal of Empirical FinanceJournal of Economic Behavior and OrganizationJournal of International Money and Finance, Journal of Macroeconomics, Journal of the Operational Research SocietyMacroeconomic Dynamics, Technological Forecasting and Social Change, and Social Sciences & Medicine.

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