Prof. Dr. Mehdi Mostowfi
Prof. Dr. Mehdi Mostowfi
ZHAW
School of Management and Law
Center for Corporate Finance and Capital Markets
Gertrudstrasse 8
8400 Winterthur
Projects
- Next level liquidity risk management in banking / Team member / ongoing
- Fostering an Ecosystem for Small and Midcap IPOs in Switzerland / Co-project leader / completed
- Analyst Indexing Platform Service / Co-project leader / completed
- Modeling and pricing of participating loans in the context of crowdlending / Deputy project leader / completed
Publications
Articles in scientific journal, peer-reviewed
- Kaya, O., Mostowfi, M. and Sugandhita, S. (2026) 'Foreign investment screening and cross-border M&A in sensitive sectors : evidence from Germany', Finance Research Letters, 92(109525). doi: 10.1016/j.frl.2026.109525.
- Kaya, O. and Mostowfi, M. (2022) 'Low-volatility strategies for highly liquid cryptocurrencies', Finance Research Letters, 46(102422). doi: 10.1016/j.frl.2021.102422.
- Affolter, B., Mostowfi, M. and Rüffieux, T. (2021) 'IPO Performance und Grösseneffekte : eine Untersuchung der Börsengänge aus der DACH-Region', Corporate Finance, 2021(5-6), pp. 152–157.
- Affolter, B., Mostowfi, M. and Rüffieux, T. (2020) 'Investitions- und Ausschüttungsverhalten kotierter Schweizer Unternehmen : eine empirische Untersuchung von 101 Unternehmen zwischen 2001 und 2018', Expert Focus, 2020(1-2), pp. 31–36. doi: 10.21256/zhaw-19447.
- Affolter, B. and Mostowfi, M. (2019) 'Auswirkungen der Niedrigzinsphase auf die Unternehmensfinanzierung in der Schweiz', Expert Focus, 2019(8), pp. 576–583. doi: 10.21256/zhaw-18146.
- Mostowfi, M. and Stier, C. (2013) 'Minimum-variance portfolios based on covariance matrices using implied volatilities : evidence from the German market', The Journal of Portfolio Management, 39(3), pp. 84–92. doi: 10.3905/jpm.2013.39.3.084.
Books, peer-reviewed
Mostowfi, M. and Meier, P. (2013) Alternative investments : analyse und due diligence. Zürich: NZZ Libro.