Faculty CV

 

CURRICULUM VITAE

 

 

ANDREW ELLUL Kelley School of Business Indiana University Bloomington, IN 47405

Email address: anellul@indiana.edu Website: https://kelley.iu.edu/anellul/

 

 

 

ACADEMIC EXPERIENCE

 

 

2015 -

 

 

 

2008 - 2014

 

 

 

2001 -  2008

Professor of Finance

Fred T. Greene Chair in Finance

Kelley School of Business, Indiana University

 

Associate Professor of Finance

Fred T. Greene Distinguished Scholar

Kelley School of Business, Indiana University

 

Assistant Professor of Finance

Kelley School of Business, Indiana University

 

 

 

PROFESSIONAL APPOINTMENTS

 

Executive Editor, Review of Corporate Finance Studies, 2018-Editor, Review of Finance, 2015 - 2017

Advising Editor, Review of Finance, 2018-Associate Editor, Review of Finance, 2010 - 2015

 

 

EDUCATION

 

 

December 2001 December 1996 December 1993 November 1992

PhD in Finance, London School of Economics

MSc in Accounting and Finance, London School of Economics MBA, SDA Bocconi (Bocconi University)

Bachelor in Economics (Honours), University of Malta

 

 

 

RESEARCH

 

Refereed Journal Papers

 

[1] “Access to Public Capital Markets and Employment,” with Alex Borisov and Merih Sevilir, Journal of Financial Economics, forthcoming.

 

 

 

 

1

 

[2] “Career Risk and Market Discipline in Asset Management,” with Marco Pagano and Annalisa Scognamiglio, Review of Financial Studies, 2020, 33 (2), 783–828.

 

[3] “Corporate Leverage and Employee Protection in Bankruptcy,” with Marco Pagano, Journal of Financial Economics, 2019, 133, 685-707.

 

[4] “Employment and Wage Insurance within Firms,” with Marco Pagano and Fabiano Schivardi, Review of Financial Studies, 2018, 31(4), 1298-1340.

 

[5] “Do Financial Analysts Restrain Insiders’ Informational Advantage?”, with Marios Panayides, Journal of Financial and Quantitative Analysis, 2018, 53(1), 203-241.

 

[6] “Transparency, Tax Pressure, and Access to Finance,” with Tullio Jappelli, Marco Pagano, and Fausto Panunzi, Review of Finance, 2016, 20(1), 37-76.

 

[7] “Is Historical Cost a Panacea? Market Stress, Incentive Distortions and Gains Trading,” with Chotibhak Jotikasthira, Christian Lundblad, and Yihui Wang, Journal of Finance, 2015, 70, 2489-2537.

 

[8]  “Mark-to-Market  Accounting  and  Systemic  Risk  in  the  Financial  Sector,”  with  Chotibhak Jotikasthira, Christian Lundblad and Yihui Wang, Economic Policy, 2014, 29 (78), 299-341.

 

[9] “Stronger Risk Controls, Lower Risk: Evidence from U.S. Bank Holding Companies,” with Vijay Yerramilli, Journal of Finance, 2013, 68 (5), 1757-1803.

 

[10]  “Investor  Horizons  and  the  Amplification  of  Market  Shocks,”  with  Cristina  Cella  and Mariassunta Giannetti, Review of Financial Studies, 2013, 26 (7), 1607-1648. (Lead Article)

 

[11]  “Regulatory  Pressure  and  Fire  Sales  in  the  Corporate  Bond  Market,”  with  Chotibhak Jotikasthira and Christian Lundblad, Journal of Financial Economics, 2011, 101 (3), 596-620.

 

[12] “Inheritance Law and Investment in Family Firms,” with Marco Pagano and Fausto Panunzi, American Economic Review, 2010, 100 (5), 2414-2450.

 

[13] “Reputation Effects in Trading on the New York Stock Exchange,” with Robert Battalio and Robert Jennings, Journal of Finance, 2007, 62 (3), 1243-1271.

 

[14] “Order Dynamics: Recent Evidence from the NYSE,” with Craig Holden, Pankaj Jain, and Robert Jennings, Journal of Empirical Finance, 2007, 14, 636-661.

 

[15] “IPO Underpricing and After-market Liquidity,” with Marco Pagano, Review of Financial Studies, 2006, 19 (2), 381-421.

 

[16]  “Ripples  Through  Markets:  Inter-market  Impacts  Generated  by  Large  Trades,”  Journal  of Financial Economics, 2006, 82 (1), 173-196.

 

[17] “Opening and Closing the Market: Evidence From the London Stock Exchange,” with Hyun Shin and Ian Tonks, Journal of Financial and Quantitative Analysis, 2005, 40 (4), 779-801.

 

 

 

2

 

Working Papers

 

“Insurers  as  Asset  Managers  and  Systemic  Risk,”  with  Chotibhak  Jotikasthira, Anastasia  V. Kartasheva, Christian T. Lundblad and Wolf Wagner, revise and resubmit, Review of Financial Studies.

 

“Labor Unemployment Risk and CEO Incentive Compensation,” with Cong Wang and Kuo Zhang, revise and resubmit, Management Science.

 

“Careers in Finance,” with Marco Pagano and Annalisa Scognamiglio.

 

“Counterparty Choice, Bank Interconnectedness, and Systemic Risk,” with Dasol Kim.

 

“Learning through a Smokescreen: Earnings Management and Compensation over Tenure,” with Cristina Cella and Nandini Gupta.

 

“Control Motivations and Capital Structure Decisions.”

 

“Blockholders, Debt Agency Costs and Legal Protection,” with Levent Guntay, and Ugur Lel.

 

 

Other Publications

 

“The  COVID-19  Pandemic  Crisis  and  Corporate  Finance,”  with Andrew  Ellul, Isil  Erel, Uday Rajan, The Review of Corporate Finance Studies, 2020, 9 (3), 421–429.

 

“Spillover  Effects  from  Risk  Regulation  on  the  Asset  Side  to  Asset  Markets,”  with  Chotibhak Jotikasthira and Christian Lundblad, in Hufeld Felix, Ralph Koijen, and Christian Thimann, eds.: The Economics, Regulation, and Systemic Risk of Insurance Markets, Winter 2015.

 

“The Role of Risk Management in Corporate Governance,” Annual Review of Financial Economics, 2015, 7, 279-299.

 

“Mark-to-Market Accounting, Market Stress and Incentive Distortions,” Review of Financial Regulation Studies, University of Notre Dame, Center for the Study of Financial Study, Issue No. 11, Summer 2013.

 

“The role of independence in the European System of Central Banks: A sufficient condition for a robust monetary union?,” in Strategic Challenges for European Banking edited by Professor Edward Gardener, Macmillan Press, 2000.

 

 

Work in Progress

 

Risk Management and Banks’ Funding Structure, with Thomas Kick and Vijay Yerramilli.

 

Bank Networks and Fire Sales, with Vijay Yerramilli.

 

Succession, Leverage and Dividends in Family Firms, with Marco Pagano and Fausto Panunzi.

 

 

3

 

Organizational  and  Operational  Risk  Management:  Substitutes  or  Complements?,  with  Vijay Yerramilli.

 

 

HONORS AND AWARDS

 

· Research Fellow, Centre for Economic Policy Research (CEPR)

· Research Associate, Centre for Studies in Economics and Finance (CSEF) · Research Associate, European Corporate Governance Institute (ECGI)

· Research Associate,  Financial Markets Group (London School of Economics) · Research Associate, Systemic Risk Centre (London School of Economics)

· Europlace Institute of Finance, 2010

· Best Paper Award at the Financial Management Association’s Annual Meeting, 2009 · Best Paper Award at the European Finance Association’s Annual Meeting, 2007

· MBA Excellence in Teaching Award, 2006, 2008, 2009, 2010, 2013, 2014, 2015, 2016 · 3M Junior Faculty Fellowship, 2006, 2007

· Peterson Faculty Award for Research, 2006

· Harry C. Sauvain Teaching Excellence Award, 2006

· Morgan Stanley Equity Market Microstructure Research Grant, 2004 · CIBER Research Award, 2004, 2006, 2007, 2008, 2010

· Indiana University Trustees’ Teaching Award, 2004, 2010

· Overall Outstanding Teacher, Alpha Kappa Psi Business Fraternity, 2003

· Nominated for the Trustees’ Teaching Award of the Kelley School of Business, 2002, 2003, 2004, 2005, 2006, 2007, 2008, 2009, 2010, 2011, 2012, 2013, 2014, 2015, 2016

· Nominated for the Innovative Teaching Award, 2006

· Kelley School of Business Dean’s Letter for Teaching Excellence, 2002-2014 · Best PhD Paper Award, Financial Management Association, 2000

· Outstanding Paper in Market Microstructure, Eastern Finance Association, 1999 · Outstanding Paper Award, Asia-Pacific Financial Research Centre, 1998

 

 

Conference Presentations

· American Finance Association Annual Meeting, 2022 · European Finance Association, 2021

· NBER Risk of Financial Institutions SI Meeting, 2021 · American Finance Association Annual Meeting, 2019

· American Economic Association Annual Meeting, 2019 · European Finance Association, 2018

· Paul Woolley Research Center, London School of Economics, 2018

· New  York  Fed/New  York  University,  Stern  School  of  Business  Conference  on  Financial Intermediation, 2018

· Third Annual CEPR Spring Symposium, 2018 (two papers) · Mitsui Finance Symposium, University of Michigan, 2017

· University of British Colombia Summer Conference, 2017

 

 

4

 

· 6th Annual Corporate Finance Conference, Exeter, 2017 · Second Annual CEPR Spring Symposium, 2017

· European Finance Association, 2017

· American Finance Association Annual Meeting, 2017

· CSEF-EIEF-SITE Conference on Finance and Labor, 2016 · Western Finance Association, 2016

· European Finance Association, 2016

· Financial Intermediation Research Society, 2016

· American Finance Association Annual Meeting, 2016

· The Economics, Regulation and Systemic Risk of Insurance Markets, London Business School, 2015

· CSEF-EIEF-SITE Conference on Finance and Labor, 2015 · European Economic Association, 2015

· European Finance Association, 2015 (two papers) · Financial Intermediation Research Society, 2015

· American Finance Association Annual Meeting, 2015

· Perspectives on Systemic Risk Conference, Systemic Risk Centre, London School of Economics, 2014

· European Finance Association Annual Meeting, 2014

· Bank for International Settlements, First Conference on Banking and Asset Management, Basel (Switzerland), 2014

· CESA Business School Conference on Family Firms, Bogota (Colombia), 2014 · Western Finance Association, 2014

· CSEF-IGIER Symposium on Economics and Institutions, 2014 · SIFR Workshop on Insurance Industry, Stockholm 2014

· “Finance and the Real Economy”, Università Cattolica del Sacro Cuore, Milan, 2014 · American Finance Association Annual Meeting, 2014 (two papers)

· Ackerman Corporate Governance Center Conference, Bar Ilan University, 2013 · 58th Economic Policy Panel Meeting, 2013

· CSEF Conference on Finance and Labor, 2013

· NBER Workshop on Credit Rating Agencies, 2013 · Western Finance Association, 2013

· Mitsui Finance Symposium, University of Michigan, 2013

· CSEF-IGIER Symposium on Economics and Institutions, 2013 · Bar Ilan University Finance Conference, 2012

· Tel-Aviv University Finance Conference, 2012 · NBER Corporate Finance Meeting, 2012

· CEPR Summer Symposium, 2012

· CSEF-IGIER Symposium on Economics and Institutions, 2012 · City University of Hong Kong Finance Conference, 2012

· Financial Intermediation Research Society, 2012

·    7th NYU/NY Fed/RFS Conference on Financial Intermediation, 2012 ·    Adam Smith Corporate Finance Conference at Oxford University, 2012

 

 

5

 

· Bank of England/LSE “Complements to Basel Conference”, 2012 · American Finance Association, 2012

· European Finance Association, 2011

· CSEF-IGIER Symposium on Economics and Institutions, 2011 · CEPR Summer Symposium, 2011

· IFN Stockholm Conference, 2011

· Financial Intermediation Research Society (3 papers), 2011 · Chicago Fed Conference, 2011

· New York Fed-Columbia University, Conference on Governance and Risk   Management in the Financial Services Industry, 2011

· American Economic Association, 2011

· American Finance Association (2 papers), 2011 · NBER Market Microstructure Group, 2010

· Yale University-ECG-Oxford University Conference on Corporate Governance, 2010 · European Finance Association Annual Meeting (2 papers), Frankfurt, 2011

· New York Fed/NYU Conference on Financial Intermediation, 2010

· Information,  Liquidity  and  Trust  in  Incomplete  Financial  Markets,  University  of  Freiburg-Review of Financial Studies Conference, 2010

· Carefin Conference, Bocconi University, 2010

· NBER Project on Market Institutions and Financial Market Risk, 2010 · NBER Conference on Financial Crisis, 2010

· Financial Intermediation Research Society, 2010 · Southwind Finance, University of Kansas, 2010 · Financial Services Authority, London, 2010

· Bank of England/LSE Conference on Financial Crisis, 2010 · SIFR Conference, Stockholm 2009

· NBER Financial Risk Meeting, 2009

· NBER Corporate Finance Meeting, 2009 · Financial Management Association, 2009 · Western Finance Association, 2009

· Paul Woolley Centre for the Study of Capital Market Dysfunctionality, LSE, 2009 · MTS Conference on Financial Markets, 2009

· Financial Intermediation Research Society, 2009 · NBER Market Microstructure Meeting, 2008

· NBER Corporate Finance Meeting, 2008 · Western Finance Association, 2008

· Financial Intermediation Research Society, 2008

· HKUST Summer Symposium on “Family Business Research”, Hong Kong, 2008 · Fundacion Ramon Areces Conference on “Corporate Governance”, Madrid, 2008 · Western Finance Association, 2007

· Annual Conference on Corporate Finance, Washington University in St. Louis, 2007 · European Finance Association Annual Meeting, 2007

· CEPR Summer Symposium, 2007

 

 

6

 

· London Business School Conference on Family Firms, 2007 · CEPR Conference on Corporate Risk Management, 2007

· Summer Research Conference, Indian School of Business, Hyderabad, 2007 · American Finance Association Annual Meeting, 2006

· Summer Research Conference, Indian School of Business, Hyderabad, 2006 · Corporate Governance in Family and Unlisted Firms, 2006

· Oxford University Summer Symposium, 2005 · RICAFE Conference, 2005

· Journal of Financial Intermediation/ACLE Conference, 2005

· Asia-Pacific Corporate Governance Conference, Hong Kong, 2005 · Corporate Governance in Closely Held Firms, Copenhagen, 2005 · FEA Conference, Marshall School of Business, USC, 2004

· Western Finance Association, 2004

· NBER Microstructure Meeting, Stern Business School, New York, 2004 · Western Finance Association, 2003

· European Finance Association Annual Meeting, 2003 · NBER Microstructure Meeting, Boston, 2003

· Yale-Nasdaq-Journal of Financial Markets Market Microstructure Conference, 2002 · Bocconi University, Conference on “Risk and Stability in the Financial System”, 2002 · FEEM Conference on “Auctions and Market Design”, Milan, 2002

· European Finance Association Annual Meeting, Berlin, 2001

· European Finance Association Annual Meeting, London, 2000

· Financial Management Association European Conference (Edinburgh), 2000

 

 

Invited Seminar Presentations

 

2018-19

Bank  of  Portugal,  Ben  Gurion  University,  IDC  Herzilya,  Ivey  School  of  Business,  Tel  Aviv University, Temple University, University of New South Wales, University of Sydney, University of Technology Sydney University of Zurich.

 

2017-18

Bank for International Settlements, Bank of Israel, Chinese University of Hong Kong, Frankfurt School of Finance and Management, Georgia State University, Hebrew University of Jerusalem, Lancaster University, Luxembourg School of Finance, Southern Methodist University, Universitat Pompeu Fabra, Vienna University of Economics and Business.

 

2016-17

Ben Gurion University, ESSEC, Hebrew University of Jerusalem, Pennsylvania State University, Shanghai University of Finance and Economics, University of Georgia, University of Lausanne and Ecole Polytechnique Fédérale de Lausanne.

 

2015-16

Chinese  University  of  Hong  Kong,  Hebrew  University  of  Jerusalem,  Imperial  College  Business School (Imperial University), McGill University, Texas A&M, University of Nebraska – Lincoln.

 

7

 

2014-15

Cass  Business  School,  Federal  Reserve  Board,  Georgetown  University,  Hebrew  University  of Jerusalem,  International  Monetary  Fund,  INSEAD,  New  Economic  School  (Moscow),  Systemic Risk Centre (London School of Economics), University of Houston.

 

2013-14

HEC Paris, Católica-Lisbon School of Business & Economics, Universita’ della Svizzera Italiana (Lugano), University of Naples Federico II, University of St. Gallen.

 

2012-13

Columbia University, University of Oxford Saïd Business School, University of British Columbia, Université de Toulouse, Einaudi Institute for Economics and Finance, Duke University, Tilburg University, University of Rotterdam.

 

2011

University of North Carolina, University of Miami, Federal Reserve Bank of New York, CEMFI, Centre for Business Taxation (Saïd Business School, Oxford University), Imperial College Business School  (Imperial  University),  Chinese  University  of  Hong  Kong,  Hong  Kong  Science  and Technology,  University  of  Colorado  at  Boulder,  University  of  Zurich,  European  Central  Bank, London Business School, London School of Economics.

 

2010

Columbia University (Law and Economics), Einaudi Institute for Economics and Finance (Rome), European School of Management and Technology (Berlin), University of Naples Federico II.

 

2009

Ohio State University, University of New South Wales, University of Technology Sydney, University of Sydney.

 

2008

Kellogg   School   of   Management,   University   of   Illinois   (Urbana-Champaign),   University   of Mannheim, Florida State University, DePaul University, University of Naples Federico II.

 

2007

Stockholm School of Economics, Imperial University, University of Alberta, University of Naples Federico II.

 

2006

University of Vienna, Rutgers University.

 

2005

INSEAD, London School of Economics, Tel Aviv University, Hebrew University of Jerusalem, IDC Herzilya, Pompeu Fabra University, Universita’ della Svizzera Italiana (Lugano).

 

2004

University of Utah, University of Memphis, New York Stock Exchange.

 

2003

Ohio State University.

 

8

 

2001

London  Business  School,  Oxford  University,  Penn  State  University,  Pompeu  Fabra  University, Michigan  State  University,  Bocconi  University,  University  of  Amsterdam,  University  of  Tilburg, CEMFI, Stockholm School of Economics, City University Business School.

 

 

Discussions in Conferences

· Financial Intermediation Research Society, 2022

· Ackerman Corporate Governance Center Conference, Bar Ilan University, 2019 · Financial Intermediation Research Society, 2018

· American Finance Association Annual Meeting, 2018

· Banks’ Systemic Risk Measurement and Mitigation Conference, 2017 · 6th Annual Corporate Finance Conference, Exeter, 2017

· American Finance Association Annual Meeting, 2017

· Association for Comparative Economic Studies Annual Meeting, 2017 · Tel-Aviv University Finance Conference, 2016

· Ackerman Corporate Governance Center Conference, Bar Ilan University, 2016 · Financial Intermediation Research Society, 2016

· Tel-Aviv University Finance Conference, 2015

· CSEF-EIEF-SITE Conference on Finance and Labor, 2015 · Northern Finance Association, 2015

· European Finance Association, 2015 · IFN Stockholm Conference, 2015

· Unicredit & Universities Foundation-CSEF Conference, 2015 · Western Finance Association, 2015

· Financial Intermediation Research Society, 2015 · UNC-Duke Corporate Finance Conference, 2015

· American Finance Association Annual Meeting, 2015

· Ackerman Corporate Governance Center Conference, Bar Ilan University, 2014

· Central Bank Annual Workshop on the Microstructure of Financial Markets, 2014 · NBER Workshop on Credit Rating Agencies, 2014

· European Finance Association Annual Meeting, 2014 (two papers)

· Paul Woolley Centre for the Study of Capital Market Dysfunctionality, LSE, 2014

· CSEF-Northwestern-UCL Conference on “Aggregate Fluctuations: Causes and Consequences, 2014

· Unicredit & Universities Foundation-CSEF Conference, 2014 · American Finance Association Annual Meeting, 2014

· Ackerman Corporate Governance Center Conference, Bar Ilan University, 2013 · Financial Institutions and Financial Stability, UC Davis, 2013

· CSEF Conference on Finance and Labor, 2013

· Mitsui Finance Symposium, University of Michigan, 2013 · Financial Intermediation Research Society, 2013

· CEPR–EBC–Univ. of St. Gallen Conference on Financial Intermediation, Switzerland, 2013 · Tel-Aviv University Finance Conference, 2012

 

 

9

 

· University of Washington Summer Conference, 2012

· City University of Hong Kong Finance Conference, 2012 · Western Finance Association, 2011

· IFN Stockholm Conference, 2011

· Financial Intermediation Research Society, 2011 (2 papers) · Tel-Aviv University Conference, 2010

· NBER Conference on Credit Rating Agencies, 2010 · Western Finance Association, 2010

· Unicredit Group Conference on Banking and Finance, 2009 · European Finance Association Annual Meeting, 2009

· CEPR Summer Symposium, 2009 · Western Finance Association, 2009

· American Finance Association, 2009

· European Finance Association Annual Meeting, 2008

· Financial Intermediation Research Society, 2008 (2 papers)

· HKUST Summer Symposium on “Family Business Research”, 2008 · European Finance Association Annual Meeting, 2007 (2 papers)

· CEPR Summer Symposium, 2007

· London Business School Conference on Family Firms, 2007

· Summer Research Conference, Indian School of Business, Hyderabad, India, 2007 · CEPR Conference on Corporate Risk Management, 2007

· Summer Research Conference, Indian School of Business, Hyderabad, India, 2006 · IU – Review of Financial Studies Conference, 2005

· Western Finance Association, 2005

· NBER Market Microstructure Meeting, 2004

· European Finance Association, 1999, 2000, 2003

· Financial Economics and Accounting Conference, 2003, 2004

· MTS Conference on Financial Markets, Toulouse, France, June 2003

 

 

SERVICE TO THE PROFESSION

 

Reviewing:

Ad  hoc  referee  to  the  American  Economic  Review,  Economica,  European  Economic  Review, European Financial Management, Financial Management, Journal of Banking and Finance, Journal of  Corporate  Finance,  Journal  of  Money,  Credit  and  Banking,  Journal  of  Finance,  Journal  of Financial Economics, Journal of Financial and Quantitative Analysis, Journal of Financial Markets, Journal of Financial Intermediation, Journal of Empirical Finance, Journal of Financial Services Research, Journal of Futures Markets, Journal of Law, Journal of Monetary Economics, Economics and Organization, Journal of Banking and Finance, Management Science, Review of Asset Pricing Studies, Review of Economic Studies, Review of Finance, Review of Financial Studies, Quarterly Journal of Economics

 

Reviewer for the Israeli Science Foundation, and Research Grants Council of Hong Kong

 

 

 

10

 

Reviewer for the Annual CEPR Spring Symposium, Imperial Business School, 2017-

 

Program Committee Member, European Finance Association’s Annual Meeting, 2004 - present

 

Program Track Chair, European Finance Association’s Annual Meeting, 2017

 

Program Committee Member, Olin Business School’s Annual Conference on Corporate Finance, 2008 -

 

Program Committee Member, FIRS Conference, 2010 - present

 

Program Committee Member, Tel-Aviv University Conference, 2011 - present

 

Program Committee Member, Western Finance Association Annual Meeting, 2014- present

 

Program Committee Member, Finance Down Under (Australia), 2011 – present

 

Program Committee Member, CSEF-IGIER Capri Conference, 2012-2013

 

Program Committee Member, Unicredit & Universities Foundation-CSEF Conference on “Bank Performance, Financial Stability and the Real Economy”, 2014 - present

 

Program Committee Member, CSEF-EIEF-SITE Conference on Finance and Labor, 2015, 2016

 

Program  Committee  Member,  EPR–EBC–Univ.  of  St.  Gallen  Conference  on  Financial  Intermediation, 2013-present

 

Program Committee Member, Central Bank Annual Workshop on the Microstructure of Financial Markets, 2014, 2015, 2016

 

Reviewer for the Financial Management Association Annual Meeting (2001, 2002, 2007, 2008, 2009, 2010, 2011, 2013)

 

Member of the ESRB’s Task Force for the Implementation of IFRS 9 by European Financial Institutions.

 

Reviewer for Consob and Bocconi University Conference on “Securities Markets: Risks, Trends and Policies”, 2016

 

Reviewer for the Mitsui Finance Symposium, Ross Business School, University of Michigan, 2017, 2018

 

The  Institute  for  Behavioral  and  Household  Finance  (IBHF)  Conference  on  “Household  and Behavioral Finance Symposium,” 2017

 

 

TEACHING

 

Spring 2013- present

 

F520 – Asset Valuation and Strategy (MBA Level) F528 – Fixed Income Investments (MBA Level)

 

11

 

F529 – Equity Investments (MBA Level) F644 – Special Topics in Finance (PhD Level)

 

 

Fall 2013

 

Spring 2012

 

 

Spring 2011

 

 

Fall 2010

 

 

Spring 2010

 

 

Fall 2009

 

Spring 2009

 

 

Spring 2008

Intermediate Investments (IGBS (Croatia)-IU Program)

 

F520 – Asset Valuation and Strategy (MBA Level) F528 – Fixed Income Investments (MBA Level) F644 – Special Topics in Finance (PhD Level) F520 – Asset Valuation and Strategy (MBA Level) F528 – Fixed Income Investments (MBA Level)

 

F644 – Special Topics in Finance (PhD Level) Intermediate Investments (IGBS (Croatia)-IU Program)

 

F520 – Asset Valuation and Strategy (MBA Level) F528 – Fixed Income Investments (MBA Level)

 

F644 – Special Topics in Finance (PhD Level)

 

F520 – Asset Valuation and Strategy (MBA Level) F528 – Fixed Income Investments (MBA Level)

 

F520 – Asset Valuation and Strategy (MBA Level) F528 – Fixed Income Investments (MBA Level) F420 – Equity and Fixed Income Investments

 

 

Spring 2005-2007

 

F520 – Asset Valuation and Strategy (MBA Level) F528 – Fixed Income Investments (MBA Level)

 

Spring 2002-2004

 

F303 – Intermediate Investments

 

 

OTHER INFORMATION

 

Affiliations

American Finance Association European Finance Association NBER Credit Rating Agencies Group NBER Market Microstructure Group

NBER Risk of Financial Institutions Group Western Finance Association

 

Service to the Department:

Chair of the Senior Recruiting Committee, 2012 Chair of the Recruiting Committee, 2008-2010

 

12

 

Member of the Recruiting Committee, 2005 – present Member of the PhD Committee, 2009 - present Member of the MBA Committee, 2011 - 2012

Member of the Undergraduate Committee, 2001 – 2006

Coordinator of the PhD students Brown Bag Seminar Series, 2002 - 2008 Coordinator of the Faculty Brown Bag Seminar Series, 2003 - 2008 Coordinator of the MBA Frontiers of Finance 2011 - 2013

 

Service to the Kelley School of Business: Member of the Database Committee, 2004 – 2010 Member of the Financial Database Taskforce, 2007

Member of the Teaching Excellence Committee, 2010 - 2012 Member of the MBA Committee, 2010 - 2015

 

Service to Indiana University:

Member, Indiana University Investment Committee, 2014 – 2016

 

Research Visiting Positions

University of Naples Federico II, 2007 – present Hebrew University, 2014 - present

European Central Bank, March 2012

Einaudi Institute for Economics and Finance, October 2010, June 2014 Systemic Risk Center, London School of Economics, March 2014 Chinese University of Hong Kong, October 2012, October 2013 Imperial College Business School, November 2011

Financial Market Group, London School of Economics, 2002-2004 (August)

 

 

 

Personal Languages:

Fluent: English, Italian, Spanish, Portuguese, and Maltese Reading: Hebrew, and French

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

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