Charles A. Trzcinka

Professor of Finance · Indiana University, Kelley School of Business

Dr. Trzcinka is an expert on financial markets and investments.

Finance Financial Markets Investments Mutual Funds Money Management

Andrew Ellul

Professor of Finance · Indiana University, Kelley School of Business

Ellul's research interests focus on empirical corporate finance, especially ownership structures and their impact on firms’ decisions.

Institutional Investors Ownership Structure Corporate Governance Market Microstructure Financial Economics

Tarun Chordia

R. Howard Dobbs, Jr. Chaired Professor of Finance · Emory University, Goizueta Business School

Chordia's research interests include empirical asset pricing, market microstructure, and the impact of liquidity in markets.

High Frequency Trading Market Microstructure Empirical Asset Pricing Liquidity

Grace Pownall

Professor Emerita of Accounting · Emory University, Goizueta Business School

Information and Global Capital Markets Voluntary Disclosure Incentives and Practices International Accounting

T. Clifton Green

John W. McIntyre Professor of Finance · Emory University, Goizueta Business School

Investments Behavioral Finance Market Microstructure

Xuan Tian

Professor of Finance · Indiana University, Kelley School of Business

Dr. Xuan Tian research is based in the areas of corporate finance and financial intermediation, venture capital and private equity.

Corporate Finance Venture Capital Innovation Finance Financial Development

Zhenyu Wang

Professor of Business Finance · Indiana University, Kelley School of Business

Professor Wang has published research on equity, fixed income, derivative securities, asset management and financial econometrics.

Financial Markets Financial Intermediation Derivatives Securities & Corporate Finance Risk Management

David Farber

Associate Professor of Accounting · Indiana University, Kelley School of Business

David Farber’s research interests include corporate governance, financial reporting and managerial characteristics.

Financial Reporting Corporate Governance Managerial Characteristics

Mark Flannery

Eminent Scholar · University of Florida

Mark Flannery's work is focused on corporate finance and the financial regulatory process.

Government Regulation of the Financial Sector Banks and Supervision Financial Advisors Monetary Policy SEC Regulation

John Sedunov, PhD

The Michele and Christopher Iannaccone ’91 Associate Professor of Finance | Villanova School of Business · Villanova University

John Sedunov, PhD, is an expert in banking, cryptocurrencies and financial institutions

Blockchain Federal Reserve Tariffs Political Economy fintech

Meric Keskinel

Lecturer of Economics, EMBA Program · Loyola Marymount University

Bellarmine College of Liberal Arts

International Finance International Trade Macroeconomics Microeconomics

Batchimeg Sambalaibat

Assistant Professor of Finance · Indiana University, Kelley School of Business

Batchimeg Sambalaibat researches over-the-counter markets and search theory.

Over-the-Counter Markets‎ Derivatives Networks Search Theory Market Microstructure

Dr Johan Rewilak

Lecturer, Economics, Finance and Entrepreneurship · Aston University

Johan's research focuses on development finance and sports economics, in particular football.

Sports Finance Economic Issues Poverty Reduction Economic Growth & Development Financial Distress

Rob Neal

Professor of Finance · Indiana University, Kelley School of Business

Rob Neal is an expert in risk management, derivatives and investment management.

Federal Reserve Monetary Policies Risk Management ESG Investment Strategies Credit Risk Health Care Finance

Tao Li

Professor · University of Florida

Tao Li researches FinTech, hedge funds and other financial tools, including cryptocurrency.

Fintech Financial Institutions Corporate Governance Hedge Funds

Ahmet Karagozoglu

Professor of Finance · Hofstra University

C.V. Starr Distinguished Professor in Finance and Investment Banking

Financial Modeling Computational Finance Derivatives Markets Advanced Derivatives Modeling Time Series Analysis of Financial Data

Suhas A. Sridharan

Assistant Professor of Accounting · Emory University, Goizueta Business School

Sridharan studies investors' use of information to assess risk and resolve uncertainty, particularly around issues of political economy

Risk Political Economy Financial Statement Analysis Information and Price Discovery in Financial Markets Uncertainty

Abraham Cable

Professor of Law · UC Hastings College of the Law

Contacts: cablea@uchastings.edu / 415-565-4853 / Office 367-200

Business Law Mergers & Acquisitions Legal Ethics Corporate Finance Corporate Governance

Aparna Gupta

Professor, Lally School of Management; Director, Center for Financial Studies · Rensselaer Polytechnic Institute

Leading quantitative finance and risk management expert advancing cutting-edge solutions to address risk challenges of the 21st century.

Networked Systems Analytical Methods Financial Engineering Risk Management Quantitative Finance

Scott B. Smart

Clinical Professor of Finance · Indiana University, Kelley School of Business

Scott B. Smart researches corporate governance.

M&A IPOs Corporate Governance