Stina Skogsvik joined the Department of Accounting in 2003. She holds a PhD from the Stockholm School of Economics (2002).Her research interests are concerned with stock market efficiency testing, the association between accounting numbers and stock market prices and accounting based firm and equity valuation.
Projects
- Bankruptcy risk in valuation modeling.
- The association between financial leverage and equity cost of capital.
- Prediction of business failure and stock market prices.
Teaching
- 3303 Financial Analysis, Course director.
- 3307 Advanced Financial Analysis , Course director.
Publications
- Skogsvik, S., 2002, Redovisningsmått, värderelevans och informationseffektivitet, PH.D thesis, Stockholm, EFI
- Skogsvik, S., 2008, "Financial Statement Information, the Prediction of Book Return on Owners' Equity and Market Efficiency: The Swedish Case", Journal of Business Finance and Accounting, 35, Issue 7-8
- Skogsvik, K. & Skogsvik, S., 2008, "P/E-ratios in Relative Valuation - a Mission Impossible?", Investment Management and Financial Innovation, Volume 5, Issue 4 (continued)
- Skogsvik, S., 2008, "Räntabilitetsprognoser och aktieplaceringar baserade på årsredovisningsinformation", Redovisning i fokus, red. Jennergren P. et al., EFI
- Skogsvik, S. & Skogsvik, K.,2010, "Accounting-Based Probabilistic Prediction of ROE, the Residual Income Valuation Model and the Assessment of Mispricing in the Swedish Stock Market", ABACUS, Volume 46, Issue 4. (Winning article of the 2010 ABACUS Manuscript Award.)
- Skogsvik, K. & Skogsvik, S., 2013, "On the choice based sample bias in probabilistic bankruptcy prediction", Investment Management and Financial Innovation, Volume 10, Issue 1.
- Anesten, S., Möller, N., Skogsvik, K. & Skogsvik, S. 2019, "The pricing accuracy of alternative equity valuation models: Scandinavian evidence", Journal of International Financial Management and Accounting.
- Skogsvik, K., Skogsvik, S. & Andersson, H. 2023. "Bankruptcy Risk in Discounted Cash Flow Equity Valuation", Journal of Risk and Financial Management 16: 476.