Costas Xiouros

Teaching - BI Norwegian Business School

Real Estate Finance, BSc, Fall 2023.

Asset Pricing Theory, PhD, Fall 2022, Spring 2023.

Strategic Asset Allocation, MSc, Fall 2020, Fall 2021, Fall 2022, Fall 2023.

Topics in Asset Pricing, PhD, Spring 2014, Spring 2021, Spring 2023.

Enterprise Risk Management, MSc, Spring 2020, Spring 2021.

Risk Management, MSc, 
Spring 2014, Spring 2015, Spring 2016, Spring 2017, Spring 2018, Spring 2019.

Risk Management , MMA, Spring 2014, Spring 2015.

Options and Futures , BSc, Spring 2010, Spring 2011.

Risk Management with Derivatives, BBA, Spring 2010, Spring 2011, Spring 2014.

Risk Management and Real Options, EMBA, Fall 2010, Fall 2011, Summer 2015.

Teaching - Other

Introduction to Corporate Financial Management, BSc, Open University of Cyprus
Spring 2014, Spring 2015, Spring 2016

Economic Analysis of Business Decisions, BSc, Marshall School of Business, University of Southern California, Summer 2006.