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FMRC
Financial Markets Research Center
FMRC Tennis

Accounting, Economics and Finance Workshops

Academic year 2003-2004

 

Date

Speaker

Affiliation

Title

Sep. 5 Luigi Zingales University of Chicago   
Corporate Governance and Taxation
Sep. 12 L. Shivakumar London Business School Earnings, Business Cycle and Stock Returns
Sep. 19 Anjan Thakor Washington University Disagreement and Flexibility: A Theory of Optimal Security Issuance And Capital Structure
Sep. 24 Mike Edleson NASDAQ A Look Inside NASDAQ
Sep. 26 Zhenyu Wang Columbia University A Shrinkage Approach to Model Uncertainty and Asset Allocation
Oct. 3 Paul Bennett New York Stock Exchange Market Structure, Fragmentation and Market Quality
Oct. 8 Wolfgang Buehler University of Mannheim Valuation of Convertible Bonds with Sequential Conversion
Oct. 24 Darius Palia Rutgers University Evidence of Jointness in the Terms of Relationship Lending
Oct. 31 Ganapathi Narayanamoorthy Yale University The Joint Determination of Audit Fees, Non-audit Fees, and Annual Accruals
Nov. 7 Guofo Zhou Washington University Modeling Non-normality Using Multivariate t: Implications for Asset Pricing
Nov. 14 Larry Brown Georgia State University A Temporal Analysis of Thresholds: Propensities and Valuation Consequences
Nov. 21 Amar Gande Vanderbilt University Informational efficiency of loans versus bonds: Evidence from secondary market prices
Dec. 5  Bob Parrino University of Texas at Austin Horses and Rabbits? Optimal Dynamic Capital Structure from Shareholder and Manager Perspectives.
Jan. 9, 2004 Karl Hackenbrack University of Florida Mandatory Disclosure and the Joint Sourcing of Audit and Management Advisory Services
Jan. 16 Lubos Pastor University of Chicago IPO Waves and Stock Prices
Jan. 23 Amy Dittmar University of Michigan Stock Repurchase Waves: An Explanation of the Trends in Aggregate Corporate Payout Policy
Jan. 30 Nick Bollen Vanderbilt University Socially Responsible Investors and Performance Sensitivity
Feb. 6 Narasimhan Jegadeesh Emory University Value of Analyst Recommendations: International Evidence
Feb. 13 Mark Flannery University of Florida Partial Adjustment toward Target Capital Structures
Feb. 20 David Parsley Vanderbilt University A Prism into the PPP Puzzles: The Micro-Foundations of Big Mac Real Exchange Rates
Feb. 27 N.R. Prabahla University of Maryland Merger Premiums and Real Gains
Mar. 5 Anthony Lynch New York University Explaining the Magnitude of the Liquidity Premium: The Roles of Return Predictability, Wealth Shocks and State-Dependent Transactions Costs
Mar. 19 Thomas Noe Tulane University Tunnel-Proofing the Executive Suite: Transparency, Temptation, and the Design of Executive Compensation
Mar. 26 Stephen Figlewski New York University Estimation Error in the Assessment of Financial Risk Exposure
Apr. 2 Hans Stoll Vanderbilt University Out-Trades: Reporting Delay, Trading Option, or Trade Size?
Apr. 9 Sunil Wahal Emory University Execution Risk and Liquidity
Apr. 30 Amar Gande Vanderbilt University Informal Efficiency of Loans Versus Bonds: Evidence from Secondary Market Prices
May 7 Jennifer Conrad University of North Carolina Basic Assets

 

 


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