Jay Shanken

Professor Emeritus in Finance · Emory University, Goizueta Business School

Asset Pricing Tests Portfolio Efficiency Return Predictability Factor Models

Charles Higgins, Ph.D.

Associate Professor of Finance, College of Business Administration · Loyola Marymount University

Investments Financial Theory Financial Strategy Financial Applications and Analysis Linguistics

Andy Naranjo

Professor/Chair · University of Florida

Andy Naranjo is an expert in financial technology, including information flows and processing, and international finance.

Fintech Info Flows Cybersecurity Empirical Asset Pricing International Finance

Mengchuan Wang

Post-Doctoral Fellow in Finance · Emory University, Goizueta Business School

Textual Analysis Machine Learning Empirical Asset Pricing Mutual Fund Performance Evaluation

Dennis Draper, Ph.D.

Professor of Finance, College of Business Administration · Loyola Marymount University

Finance Commodity, Financial and Stock Index Futures Derivative Assets and Products Investment Strategy Risk Management

Raymond Hill

Associate Professor Emeritus in the Practice of Finance · Emory University, Goizueta Business School

Project Finance Macroeconomic and Monetary Policy Energy Economics and Finance

Tarun Chordia

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

Chordia's research interests include empirical asset pricing and market microstructure.

Empirical Asset Pricing Market Microstructure Liquidity High Frequency Trading

Lisa Kramer

Professor of Finance · University of Toronto

Lisa Kramer studies the way human characteristics play a role in investor decisions and financial markets

Behavioral Finance Investment Financial Market Seasonality Empirical Finance Behavioral Economics

Chester Spatt

Professor · Carnegie Mellon University

Chester Spatt has been a leader in financial economics for more than four decades.

Banking, Finance and Investment Finance Economic Theory Applied Economics Econometrics

Jay Ritter

Eminent Scholar · University of Florida

Jay Ritter studies IPOs, asset pricing, valuation, investment banking and capital structure.

Finance, Insurance & Real Estate Initial Public Offerings Investment Banking Capital Structure Asset Pricing

Ron Kaniel

Jay S. and Jeanne P. Benet Professor of Finance Professor · University of Rochester

Ron Kaniel is a financial expert who focuses his research on asset pricing, financial intermediation, and investments.

Financial Intermediation and Investments Asset Pricing

Farid AitSahlia

Assistant Professor · University of Florida

Farid AitSahlia is an expert in financial technology, with specific interest in topics including computational methods and risk management.

Market Microstructure Financial Engineering Fintech Risk Management Asset Pricing

Baolian Wang

Associate Professor · University of Florida

Baolian Wang is an expert in behavioral finance, investor behavior, cryptocurrency and social finance.

Social Finance Cryptocurrency Investor Behavior Behavioral Finance Asset Pricing

Mahendrarajah Nimalendran

Professor/Chair · University of Florida

Mahendrarajah "Nimal" Nimalendran is an expert in information economics, asset pricing models, empirical methods in finance and investments.

Investments Asset Pricing Models Market Microstructure Fintech Information Economics

Robert Novy-Marx

Lori and Alan S. Zekelman Distinguished Professor of Finance · University of Rochester

Robert Novy-Marx is an award-winning expert on empirical asset pricing, empirical methods, and public finance.

Public Finance Empirical Asset Pricing Empirical Methods

Nicholas Valerio

Professor in the Practice of Finance · Emory University, Goizueta Business School

Financial Markets Financial Asset Pricing Investment Management Quantitative Equity Investing Derivative Financial Assets

Aizhan Anarkulova

Assistant Professor of Finance · Emory University, Goizueta Business School

Lakshmi Shankar Ramachandran

Associate Professor in the Practice of Finance · Emory University, Goizueta Business School

Andrei Simonov

Professor · Michigan State University

An expert in US and international stock markets, institutional and individual investors, investment banking and behavioral finance.

International Finance Behavioral Finance Financial Services Asset Management