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FMRC
Financial Markets Research Center
FMRC Tennis

Accounting, Economics and Finance Workshops

Academic year 2005-2006

 

Date

Speaker

Affiliation

Title

Sep. 9, 2005 Barbara Rossi Duke University Expectations Hypotheses Tests and Predictive Regressions at Long Horizons
Sep. 23 Lu Zhang University of Rochester Anomalies
Oct. 7 Allen Poteshman University of Illinois at Urbana-Champaign Volatility Information Trading in the Option Market
Oct. 28 Amar Gande Vanderbilt University Are Banks Still Special When There Is a Secondary Market for Loans?
Nov. 4 Robert Hansen Tulane University Investment Bank Governance: An Intra-industry Study of Corporate Governance
Nov. 11 Robert E. Whaley Duke University Spurious Dichotomous Variable Regressions in Financial Economics
Nov. 18 Peter Swan University of New South Wales Optimal Portfolio Balancing Under Conventional Preferences and Transaction Costs Explains the Equity Premium Puzzle
Dec. 2 VG Sridharan University of Auckland Knowledge Specificity in Management Controls: Science, Case Studies and Analytic Generalization
Dec. 9 Mara Faccio Vanderbilt University Sudden Deaths: Taking Stock of Political Connections
Jan. 13, 2006 Ray Fisman Columbia University Limits to Policy Reversal: Privatization in India
Jan. 20 Gurdip Bakshi University of Maryland The Distribution of Risk Aversion
Jan. 23 Richard Willis Tulane University Bold Security Analysts' Earnings Forecasts and Managers' Information Flow
Jan. 24 Vivian Wang Yale Unviersity Stock Return Dynamics under Earnings Management
Jan. 26 Missaka Warusawitharana University of Pennsylvania Corporate Asset Purchases and Sales: Theory and Evidence
Jan. 27 David Farber Michigan State University Earnings Restatements, Changes in CEO Compensation, and Firm Performance
Jan. 30 Qui Lei University of Michigan Cash Distributions and Returns
Feb. 2 Adam Kolasinski Massachusetts Institute of Technology Subsidiary Debt, Capital Structure and Internal Capital Markets
Feb. 3 Mark Leary Duke University Bank Loan Supply, Lender Choice, and Corporate Capital Restructure
Feb. 6 Camelia Kuhnen Stanford University Social networks, Corporate Governance and Contracting in the Mutual Fund Industry
Feb. 9 Irina Stefanescu University of North Carolina Capital Structure Decisions and Corporate Pension Plans
Feb. 10 Roberto Rigobon Massachusetts Institute of Technology Wealth Transfers and Portfolio Constraints
Feb. 17 Adlai Fisher University of British Columbia SEOs, Real Options, and Risk Dynamics: Empirical Evidence
Feb. 21 Lars Ola Bengtsson University of Chicago A Study of Repeated Relationships Between Venture Capitalists and Entrepreneurs
Feb. 24 Antoinette Schoar Massachusetts Institute of Technology Mixing Family with Business: A Study of Thai Business Groups and the Families Behind Them
Mar. 3 Mark DeFond University of Southern California Home Bias, Foreign Mutual Fund Holdings, and the Voluntary Adoption of International Accounting Standards
Mar. 17 Andrew Metrick University of Pennsylvania Extreme Governance: An Analysis of Dual-Class Firms in the United States
Mar. 31 Gordon Phillips University of Maryland The New Era? Real and Financial Industry Booms and Busts
Apr. 7 Greg Udell Indiana University Are Trade Creditors Relationship Lenders?  
Apr. 14 E.Hun Kim University of Michigan How Do Labor Laws and Investor Protection Affect Corporate Restructuring?  
Apr. 21 Gustavo Grullon Rice University Firm Age and Fluctuations in Idiosyncratic Risk  
Apr. 28 Ivo Welch Brown University A Comprehensive Look at the Empirical Performance of Equity Premium Prediction  

 

 

 

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