Viktors Ajevskis

Chief Economist, Bank of Latvia

PROFESSIONAL EXPERIENCE
2003 –
Bank of Latvia, Monetary Policy Department, Chief economist

1999 –
Riga Technical University, Mathematical Statistics and Probability Department, Associated Professor

1993 –1997
Moscow Business Academy, Lecturer
1991 – 1992
Riga Technical University, Department of Applied Mathematics, Researcher

EDUCATION

1992
Riga Technical University, Doctor of Mathematics, Thesis Title: Approximate Inertial Manifolds for Reaction-Diffusion Equation

1985
Moscow State University, Department of Mechanics and Mathematics,
M.Sc. in Applied Mathematics

1982
Leningrad (St.-Petersburg) Mechanical Institute, Diploma of Engineer.

Publications

"A target zone model with the terminal condition of joining a currency area". Applied Economics Letters. 2011, doi:10.1080/13504851.2010.534053.
"A Convergence Model of the Term Structure of Interest Rates". With Kristine Vitola. Review of Finance, 2009.
"Dynamic Factor Models in Forecasting Latvia's Gross Domestic Product". With Gundars Davidsons . Working Paper 2/2008, Bank of Latvia, Rīga.
"Inflation and Inflation Uncertainty in Latvia." Working Paper 4/2007, Bank of Latvia, Rīga, 2007.
""Latvian term structure of interest rates premium". Proceedings of the Latvian Academi of Science, v.59, Nr. 6, 2005 – p.p. 229 – 233.
"Repegging of the Lats to the Euro: Implications for the Financial Sector." With Armands Pogulis. Working Paper 1/2005, Bank of Latvia, Rīga, 2005.

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