Doctor of Philosophy (Ph.D.) in Applied Mathematics, University of Wales
Master of Science (MSc) in Control Technology, University of Portsmouth
Bachelor Degree (BEng) in Electronic & Computer Engineering, University of Athens
Designing and implementing advanced solutions in risk management and profitability analysis for the financial industry, Market Place Lending, New Financial Regulations, Operation Risk, Artificial Intelligence and Blockchain technology.
Basel IV Modelling: Implementation, Impact and Implications, by Ioannis Akkizidis, Kalyvas Lampros, to be published by Palgrave Macmillan, April 2018
Accompanied with the freeware software for quantitative analysis for the impact and implications of new regulations in banking financial institutions
Accompanied with the freeware risk management software for Marketplace Lending platforms
Unified Financial Analysis, the Missing Links of Finance, by Willi Brammertz, Ioannis Akkizidis, Wolfgang Breymann, Rami Entin, Marco Rüstmann, published by John Wiley & Sons London/New York, March 2009.
The material of this book is part of the course Risk Lab provided by the University of Zürich, since the academic year 2009
This book explains in analysis point of view that financial institutions are having additional risk exposure by trading and having in their portfolios Islamic financial instruments.
Listed in GARP's (Global Association of Risk Professionals) resources of FRM core readings for Islamic Finance Research Titles.
Guide to Optimal Operational Risk & Basel-II, by Ioannis Akkizidis and Bouchereau Vivianne, published by Taylor & Francis / AUERBACH, New York, 2006.
This book is accompanied with the freeware risk management software for identifying, measuring and managing Operational Risk.