Igor Lončarski is an associate professor of Finance at University of Ljubljana, School of Economics and Business. He is associate professor at TIAS as well as Academic Director of the part-time MScBA at TIAS Utrecht. Igor holds a PhD degree from Tilburg University in the Netherlands (2007). His research interests are in the area of investments, credit risk, financial markets, and behavioral finance. In terms of professional service, Igor is the editor-in-chief of Risk Management journal (Palgrave/Springer), an associate editor of Emerging Markets Review and International Review of Financial Analysis, as well as a member of editorial board of Journal of Behavioral and Experimental Finance and a subject editor of Journal of Multinational Financial Management.