curriculum vitae iftekhar hasan

Transcription

curriculum vitae iftekhar hasan
CURRICULUM VITAE
IFTEKHAR HASAN
Schools of Business
Fordham University
1790, Broadway, Room no. 1122
New York, NY 10019
(646) 312 8278 (W)
(518) 892-6532 (Cell)
30 Waterside Plaza, 21E
New York, NY 10010
518 892-6532 (Cell)
(212) 679-1890 (Home)
E-mail: [email protected]
E-mail: [email protected]
Current Affiliations
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E. Gerald Corrigan Chair Professor of Finance and International Business, Fordham
University, September 2011-Present
•
Scientific Advisor, Bank of Finland (Central Bank), Helsinki, 00101, Finland, 2000-Present.
•
Managing Editor, Journal of Financial Stability, Elsevier, (2004-Present).
•
President, Eurasia Business and Economics Society, 2012-2014.
Other Recent Affiliations and Activities:
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Advisory Member
Federal Reserve Bank of Atlanta’s Center for Financial Innovation
and Financial Stability (2009 - Present).
•
Advisory Board
Centre for Banking Research, Cass Business School,
City University, U.K., (2008-Present).
•
Advisory Board
Eurasia Business and Economics Society, Istanbul, (2010-Present).
•
Academic Advisor
Financial Engineering and Banking Society – Technical University
of Crete, (2010-Present).
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PhD Program Board
University of Rome, Tor Vergata, PhD Program, (2002-2012).
•
Research Associate
Berkley Research Center, Stern School of Business, (2000-Present).
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Research Associate
CAMA, ANU, Canberra, Australia, (2008-Present).
•
Visiting Scholar
Federal Reserve Bank of Atlanta, (1990, 1995, 2000-Present).
•
Research Fellow
Centre for Financial and Risk Management, AUDENCIA, Nantes,
France, (2011-Present).
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Research Fellow
CEIS, University of Rome, Tor Vergata, (2012-Present).
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Research Fellow
Financial Engineering Laboratory, (Crete, 2011).
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Visiting Scholar
Banque de France, (2011).
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Visiting Scholar
International Monetary Fund, (2012).
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Visiting Scholar
CERF, University of Cambridge, U.K. (2006, 2007).
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Visiting Scholar
Central Bank of Finland, Helsinki, Finland, (1999-2000).
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Visiting Professor
EPFL, Lausanne, Switzerland, (2006, 2007, 2008).
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Visiting Professor
University Carlos III, Madrid, Spain, (2007, 2008, 2009).
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Visiting Professor
Cheng Chi University, Taiwan, (2005).
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Visiting Professor
National Taiwan University, Taiwan, (2009).
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Visiting Professor
Robert Schumann University, France, (1995-2004, 2007-Present).
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Honorary Faculty
Romanian American University, Bucharest, (2011-Present).
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Visiting Professor
University of Limoges, France, (2008, 2009, 2010).
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Visiting Professor
Academy of Economic Studies, Romania, (1999).
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Visiting Professor
University of Rome, (1999-2010).
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Visiting Lecturer
Tilburg University, Netherlands, (1996).
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Visiting Scholar
University of Malaga, Spain, (June 1995).
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Visiting Scholar
University of Bergamo, Italy, (1998).
•
Represented USA
Leadership Program, MITI, Japan, (1997).
Other Current and past Employment and Responsibilities
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Acting Dean, Lally School of Management and Technology, Rensselaer Polytechnic Institute,
(March 2010- June 2011).
•
Cary L. Wellington Professor of Finance, Lally School of Management and Technology,
Rensselaer Polytechnic Institute, (2005-2011).
•
Director, International Center for Financial Research, Lally School of Management and
Technology, Rensselaer Polytechnic Institute, (2005-2011).
•
Area Coordinator of Finance and Accounting, Lally School of Management and Technology,
Rensselaer Polytechnic Institute, (2003-2011).
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Co-Director, PhD Program, Lally School of Management and technology, Rensselaer
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Polytechnic Institute, (2004-2011).
•
Professor of Information Technology (Joint Appointment), School of Information and
Technology, Rensselaer Polytechnic Institute, (2004-2011).
•
Acting Dean, Lally School of Management and Technology, Rensselaer Polytechnic Institute,
(April 2004 – July 2005).
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Director, Severino Center for Entrepreneurship, Lally School of Management and Technology,
Rensselaer Polytechnic Institute, (April 2004 - September 2005).
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Professor of Finance, Lally School of Management, Rensselaer Polytechnic Institute, (20022004).
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Professor of Finance, School of Management, New Jersey Institute of Technology, University
Heights, Newark, New Jersey 07102-1982, (1996-2002).
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Rutgers University, Doctoral Faculty (1995-2002) and PhD Program Area Coordinator (19971999), Graduate School of Management, Rutgers University, Newark, NJ 07102.
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Professor of Finance (Visiting), Stern School, New York University, (1999-2000).
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Associate Professor of Finance, SOM - NJIT, (1993-1996).
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Assistant Professor of Finance (Visiting), Fordham University, (1991-1993).
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Assistant Professor of Finance (Visiting), Georgia Tech, (1989-1991).
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Financial Economist, Federal Home Loan Bank of Atlanta, (1988-1989).
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Visiting Scholar (part-time), FHLBA, (1989-1990 and Summer, 1991).
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Visiting Scholar (part-time), Federal Reserve Bank of Atlanta, (1990-1991).
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Assistant Professor, University of Wisconsin-RF, (1987-1988).
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Research Assistant / Teaching Fellow, University of Houston, (1982-1987).
Recent Consulting Activities
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International External Reviewer – Task Force Report [Committee of Public Accounts
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(PAC)], on the Irish “banking crisis” appointed by the Houses of the Oireachtas (Irish
parliament).
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International Consultant - Italian Deposit Insurance, FITD, Rome, Italy. Project on Derivatives
and Bank Risk.
•
International Consultant - World Bank, Lectures/Workshop to the Executives of Central Banks
on Investment Banking, Capital Market, Instruments, and Derivatives, Dhaka, Bangladesh.
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Consultant – SK Corporations, Lectures/Workshop for the Executives of SK Corporations on
Valuation of Assets, Capital Budgeting and Globalization of Corporations, New York.
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International Consultant - Italian Deposit Insurance, FITD, Rome, Italy. Project on RiskReturn and Internet Banking in Italy.
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Banking Consultant - World Bank, Privatization of Banks in Transitional Countries in Central
and Eastern Europe.
•
International Consultant - United Nations Capital Development Fund. Bhutan Project on
Financial and Banking Sector: Analyzed the Financial Sector, Evaluated a Local Bank
Involved in Privatization.
•
International Consultant - United Nations Development Fund. Kenya Project on Banking
and Credit Sector: Developed New Efficiency Model to Evaluate Commercial Banks and
Non-Governmental Organizations for the Central Bank.
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Financial Consultant- Venture Capital Funds of America, Valuation, Evaluation and Policy
Research on New Venture Capitalist Initiatives.
•
International Banking Consultant and Advisor – Analyzed and Ranked Venezuelan
Commercial Banks Based on U.S. type CAMEL Ratings, sponsored by the Bankers
Association and IESA, Venezuela.
Research Interests
• Financial Institutions and Capital Markets
• Applied Corporate Finance
• Entrepreneurial Finance and Venture Capital
• Emerging Markets and International Banking
• Financial Accounting
Education
A. Formal
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Ph.D
University of Houston.
•
M.A.
University of Houston.
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B.S.S.
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Minor in Mathematics, Statistics, and Public Administration.
•
Honorary PhD – “Doctor Honoris Causa” – Romanian American University, Bucharest,
(Honors) (Economics)
University of Dhaka.
Romania, 2011.
B. Special Training
•
"Markets and Institutions for Educators" FRB of New York.
•
"Advanced Corporate Finance" Columbia University.
•
"Asset-Liability Management" Federal Home Loan Bank Board.
•
"Certificate in Advanced Finance" Federal Home Loan Bank Board.
Editorial Activities (Current and Past)
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Managing Editor, Journal of Financial Stability, Elsevier B.V., (2004 – present “-“).
•
Associate Editor, Journal of Money, Credit, and Banking, Ohio State University, (1996-)
•
Associate Editor, Journal of Banking and Finance, Elsevier, B.V., (2002-2012).
•
Associate Editor, Journal of International Money and Finance, Elsevier B.V., (1998-)
•
Associate Editor, China Finance Review, (2009- )
•
Associate Editor, Journal of Banking, Accounting and Finance, (2010- )
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Associate Editor, International Journal of Banking, Accounting, and Finance, (2011- )
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Associate Editor, International Review of Accounting, Banking and Finance, (2011- )
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Editorial Board Member, Economics Research International, (2010- )
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Editor, Research in Banking and Finance, Elsevier B.V., (2000-2004).
•
Guest Editor, Two Special Issues on Financial Institutions, of Managerial Finance, Volume
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23, Number 1-2, MCB, University Press, England, (1997).
•
Guest Editor, 3 issues of Journal of International Money and Finance, (2002-2004).
•
Editorial Board Member, International Journal of Financial Studies.
•
Editorial Board Member, SAM-Advanced Management Journal.
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Editorial Board Member, Managerial Finance.
•
Editorial Board Member, Journal of Global Business.
•
Editorial Board Member, Theoretical and Applied Economics.
•
Editorial Board Member, Indian Accounting Review.
•
Editorial Board Member, Bulletin of Monetary Economics & Banking (Central Bank of
Indonesia).
•
Editorial Board Member, Journal of Bank and Bank Systems (National Bank of Ukraine).
Ad-Hoc Referee
Review of Financial Studies, International Economic Review, Journal of Banking and Finance,
Journal of Money, Credit, and Banking, Geneva Risk and Insurance, Journal
of
International
Money and Finance, Journal of Productivity Analysis, Financial Review, Journal of Business
Finance and Accounting, Journal of Business Research, Journal of Comparative Economics,
Journal of Financial Services and Research, Review of Accounting and Finance, Managerial
Finance, Journal of International Business Studies, Applied Financial Economics, Journal of
Engineering and Technology Management, Studies in Finance and Economics, Economic Systems,
Journal of Economics and Finance, Issues in Asian Business, Quarterly Review of Accounting and
Finance, Quarterly Review of Economics and Business, Southern Business and Economics Journal,
European Journal of Operation Research, SAM-Advanced Management Journal, Journal of
Economics and Business, IEEE Transaction and Management, International Journal of Banking,
Accounting, Auditing and Finance, Omega, Applied Economics, Bank and Bank Systems, African
Management Review.
Scholarly Activities:
Publications:
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Books and Edited Volumes
1. Siddique, A., and Hasan, I. 2013. Stress Testing: Approaches, Methods and Applications, RISK
BOOKS Publishing.
2. Abetti, P., Abassi, M., Durgee, J., Rayana, N. and Hasan, I., Entrepreneurship in Libya. U.S.
Government Press; A project requested by the State Department after the successful project we had on
North Africa.(forthcoming).
3. Abetti, P., Abassi, M., Durgee, J., Rayana, N. and Hasan, I., 2011. Entrepreneurship in
Magreb (North Africa), U.S. Department of Commerce, (published in English, French, and
Arabic), U.S. Government Press.
4. Hasan, I., Mayes, D., and et al. December, 2007. The Future of the Financial Markets,
Palgrave-McMillan.
5. Bagella, M., Becchetti, L., and Hasan, I., June, 2006. Transparency, Governance, and
Markets, Elsevier, B.V.
6. Ginsberg, A., and Hasan, I., January, 2004. New Venture Investment: Choices and
Consequences, Elsevier.
7. Bagella, M., Becchetti, L., Hasan, I., and Hunter, W.C., 2004. Monetary Integration,
Markets and Regulation, Elsevier.
8. Hasan, I., and Hunter, W.C., 2004. Banking and Financial Market Efficiency: Global
Perspectives, Elsevier.
9. Hasan, I., and Teall, J., 2002. Quantitative Methods for Finance and Investments, Blackwell
Publishers, Blackwell Publishing.
10. Hasan, I., 2000. Research in Banking and Finance, Vol.1 Elsevier Science. Amsterdam.
11. Hasan, I., 2001. Research in Banking and Finance, Vol.2 Elsevier Science. Amsterdam.
12. Hasan, I., 2003. Research in Banking and Finance, Vol.3 Elsevier Science. Amsterdam.
13. Hasan, I., January, 1997. Efficiency of Depository Institutions and Markets-I, Barmarick
Publications, ISBN: 1853851808.
14. Hasan, I., January, 1997. Efficiency of Depository Institutions and Markets – II, Barmarick
Publications, ISBN: 1853851809
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Journal Articles (Google citations over 5,000)
1.
Zhou, Y., Allen, A., and Hasan, I., 2013, State Antitakeover Statutes and Voluntary
Disclosure. Journal of Financial and Quantitative Analysis, 48, 2: April. (forthcoming).
2.
Delis, M., I. Hasan, and P. Kazakis, 2013. Bank regulations and income inequality: Empirical
evidence. Review of Finance, (forthcoming).
3.
Hasan, I., and Marinc, M., 2013. “Should Competition Policy in Banking Be Amended during
Crises? Lessons from the EU,” European Journal of Law and Economics (forthcoming).
4.
Shen, C.H., Hasan, I., and Lin, C. Y., 2013. “The Policy Role of Government Banks: Do
Institutional Factors Matter?" Journal of Financial Services and Research, (forthcoming).
5.
Leventis, L., Hasan, I., and Dedoulis, E. 2013, The Cost of Sin: The Effect of Social Norms
on Audit Pricing. International Review of Financial Analysis, (forthcoming).
6.
Gaganis, C., Hasan, I., and Pasiouras, F., “Efficiency and stock returns: Evidence from the
insurance industry,” Journal of Productivity and Analysis, (forthcoming).
7.
Francis, B., Hasan, I., Wu, Q., 2013, The Impact of CFO Gender on Bank Loan
Contracting. Journal of Accounting, Auditing and Finance, 28, 1:53-78.
8.
Francis, B., Hasan, I., and Wu, Q., 2012, Do Corporate Boards Affect Firm Performance?
New Evidence from the Financial Crisis. Review of Financial Economics, 21(2): 39-52.
9.
Francis, B., Hasan, I., and Wu, Q., 2013, The Benefits of Conservative Accounting to
Shareholders: Evidence from the Financial Crisis. Accounting Horizons, June issue.
10. Siregar, D., Anandarajan, A., and Hasan, I., 2012, Commercial Banks and Value Relevance of
Derivative Disclosures After SFAS 133: Evidence from the USA,” Review of Pacific Basin
Financial Markets and Policies, 21, (2): 39-52.
11. Francis, B., Hasan, I., Wang, H., and Fang, Y., 2012, Product Market Relationships and
Cost of Bank Loans: Evidence from Strategic Alliances. Journal of Empirical Finance,
19, 654-673.
12. Francis, B., Hasan, I., and L. Song, 2012, Are Firm- and Country-Specific Governance
Substitutes? Evidence from Financial Contracts in Emerging Markets. Journal of Financial
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Research, 35, 434-374.
13. Hasan, I., Park, J.C., Wu, Q. 2012 The Impact of Earnings Predictability on Bank Loan
Contracting. Journal of Business Finance and Accounting, 39, 1068-1101.
14. Hasan, I., Xie, R., Foreign Bank Entry in China: Has Corporate Governance of Bank
Improved? Emerging Markets, Finance, and Trade (forthcoming).
15. Shen, C., Huang, Y, and Hasan, I., 2012. Asymmetric Benchmarking in Bank Credit Rating.
Journal of International Financial Markets, Institutions & Money, 22, 171-193.
16. Yao, Y., Yang, R., Z. Liu, and Hasan, I., 2012. Government Intervention and Institutional
Trading Strategy: Evidence from a Transition Country. Global Finance Journal,
(forthcoming).
17. Francis, B., Hasan, I., Koetter, M., and Wu, Q., 2012, Corporate Governance and Cost of
Bank Loan. Journal of Financial Research, 35, Winter (4), 521–552.
18. Francis, B., Hasan, I., and Zhou, M., 2012, Strategic Conservative Earnings Management of
Technology Firms: Evidence from the IPO Market. Financial Markets, Institutions &
Instruments, 21 (5): 261-293.
19. Hasan, I., Schmiedel, H., and Song, L., 2012, Retail Payment and Bank Performance.
Journal of Financial Services and Research, 41 (3): 163-195.
20. Becchetti, L., Ciciretti, R., Hasan, I., and Kobeissi, N., 2012, Corporate Social Responsibility
and Shareholders’ Value: A Note Journal of Business Research, 65, 1628-1635.
21. Francis, B., Hasan, I., Song, L., and Waisman, M., 2013, Agency Problem and InvestmentCash flow Sensitivity: Evidence from Antitakeover Legislation. Emerging Market Review,
15: 57-71.
22. Hasan, I., and Kobeissi, N., 2012, Innovations, Intellectual Protection Rights and
Information Technology: An Empirical Investigation in the MENA Region. Electronic
Commerce Research, 12:455-484.
23. Hasan, I., Schmiedel, H., and Song, L., 2012, Growth strategies and value creation: what
works best for stock exchanges? The Financial Review, 47, 469-499.
24. Hasan, I., Phan, P., and Sugheir, J., 2012, A Knowledge-Based View on the Shape of the
Diversification-Innovation Relationship. IEEE Transactions on Engineering
Management, 59 (4): 530-539.
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25. Distinguin, I., Hasan, I., and Tarazi, A., 2012. Predicting Rating Changes for Banks: How
accurate are Accounting and Stock Market Indicators. Annals in Finance, (forthcoming).
Online, DOI: 10.1007/s10436-012-0195-0.
26. Francis, B., Hasan, I., Sharma, Z. and Huang, Y., 2012, Do Banks Value Innovation?
Evidence from Financial Contracts, Financial Management 41 (1): 159-186.
27. Chen, Y., and Hasan, I., 2011, Subordinated Debt and Bank Risk. Journal of Money,
Credit, and Banking, 43(6): 1043-1072.
28. Francis, B., Hasan, I., and Sharma, Z., 2011, Leverage Growth, and CEO Compensation.
Journal of Economics and Business 63 (6): 558-581.
29. Fang, Y., Hasan, I., Marton, K, 2011, Bank Efficiency in South-Eastern Europe. Economics
of Transition, 19 (3), 495-520.
30. Fang, Y., Hasan, I., and Marton, K., 2011, Institutional Development and Its Impact on the
Performance Effect of Bank Diversification: Evidence from Transition Economies.
Emerging Markets, Finance, and Trade, 47(4): 5-22.
31. Choi., S. and Hasan, I., 2011. Bank Privatization and Convergence of Performance:
International Evidence. Journal of Financial Research, 34(2): 387-410.
32. Hasan, I., Kobeissi, N., and Wang, H., 2011. Global Equity Offerings, Corporate Valuation
and Subsequent International Diversification. Strategic Management Journal, 32(7): 787796.
33. Hasan, I., and Tucci, C., 2011. Innovation and Economic-Growth Nexus: Global Evidence.
Research Policy 39(10): 1264-1276.
34. Francis, B., Hasan, I., John, K and Song, L., 2011. Corporate Governance and Dividend
Payout Policy: A Test Using Antitakeover Legislation. Financial Management, Spring,
40(1), 83-112.
35. Ginsberg, A., Hasan, I., and Tucci, C., 2011. Unpacking the Effects of Corporate Venture
Capital Investor Ties on the Reduction of Price Discounting among IPO Firms.
Entrepreneurship Research Journal, 1 (2): Article 6, ISSN (Online) 2157-5665, DOI:
10.2202/2157-5665.1010.
36. Ginsberg, A., Hasan, I., and Tucci, C., 2011. The Influence of Corporate Venture Capital
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Investment on the Likelihood of Attracting a Prestigious Underwriter: An Empirical
Investigation. Advances in Financial Economics 14(1): 165-201.
37. Anandarajan, A., Francis, B., Hasan, I., and John, K., 2011. Value Relevance and Banks:
International Evidence. Review of Quantitative Finance and Accounting, 36(1): 33-55.
38. Castelli, A. Dwyer, G.P., and Hasan, I., 2011. Relationship Lending and Firm Performance:
Italian Evidence. European Financial Management, 18 (1): 28-67.
39. Becchetti, L, Carpentieri, and Hasan, I., 2011. The Determinants of Option Adjusted Delta
Credit Spreads: A Comparative Analysis on US, UK and the Euro-zone. European
Financial Management, 18 (2): 183-217.
40. Goel, R. and Hasan, I., 2011. Economy-wide Corruption and Bad Loans in Banking:
International Evidence. Applied Financial Economics, 21(7): 455-461.
41. Anandarajan, A. and Hasan, I., 2011. Value Relevance of Earnings: Evidence from MENA
Countries. Advances in Accounting, 26(2): 270-280.
42. Distinguin, I., Hasan, I., and Tarazi, A., 2010. The Use of Accounting Data to Predict Bank
Financial Distress. International Journal of Banking, Accounting and Finance, 2 (4): 83112.
43. Choi, S., Francis, B., and Hasan, I., 2010. Cross Border M&As and Bank Risk: Evidence
from the Bond Market, Journal of Money, Credit, and Banking,
42 (4):615-645.
44. Hasan, I., and Waisman, M., 2010. Going Public: An Empirical Investigation of U.S. Bound
Israeli IPOs. Financial Markets, Instruments, and Institutions, 19(4): 215-244.
45. Francis, B., Hasan, I., Lothian, J, and Sun, X., 2010. Signaling Hypothesis Revisited:
Evidence from Foreign IPOs. Journal of Financial and Quantitative Analysis, 45: 81-106.
46. Demyanyk, Y., and Hasan, I., 2010. Financial Crises and Bank Failures: A Review of
Prediction Methods. Omega, The International Journal of Management Science, 38: 315324.
47. Berger, A., Hasan, I., and Zhou, M., 2010. The Effects of Focus versus Diversification on
Bank Performance: Evidence from Chinese Banks, Journal of Banking and Finance, 34:
1417-1435.
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48. Becchetti, L., Castelli, A., and Hasan, I., 2010. Investment Cash Flow Sensitivities, Credit
Rationing and Financing Constraints. Small Business Economics, 35(4): 467-497.
49. Francis, B., Hasan, I., John, K., and Waisman, M., 2010. The Effect of State Antitakeover
Laws on the Firm’s Bondholders. Journal of Financial Economics, 96(1): 127-154.
50. Francis, B., Hasan, I., and Wang, H., 2009. Personal Bankruptcy and New Business
Formation, Financial Review, 44: 647-663.
51. Ciciretti, R., Dwyer, G.P., and Hasan, I., 2009. The Dynamics of Investment Analyst’s
Forecast of Earnings: Further Evidence, Federal Reserve Bank of St. Louis Review II,
91(5): 545-67.
52. Francis, B., Hasan, I., and Siregar, D., 2009. The Choice of IPO versus M&A: Evidence
from the Banking Industry, Applied Financial Economics, 19, 1-21.
53. Francis, B., Hasan, I., and Wang, H., 2009. Do Investors Value Securitization Activities: An
Empirical Analysis, Journal of Economic Asymmetries, 6 (3): 93-118.
54. Hasan, I., Koetter, M., and Wedow, M., 2009. Regional Growth and Finance in Europe: Is
there a Quality Effect of Bank Efficiency? Journal of Banking and Finance, 33(8): 14461453.
55. Ravichandran, T., Liu, Y., Han, S., and Hasan, I., 2009. Diversification and Firm
Performance: Exploring the Moderating Effects of Information Technology Spending.
Journal of Management Information Systems, I25: 4, 205-240.
56. Francis, B., Hasan, I., and Sun, X., 2009. Political Connections and the Process of Going
Public: Evidence from China. Journal of International Money and Finance, 28(4): 696719.
57. Choi, S., Hasan, I., and Waisman, M., 2009. Does Corporate Governance Matter? Korean
Banks in the Post Financial Crisis Era. Advances in Financial Economics, 13: 217-241.
58. Ciciretti, R., Hasan, I., and Zazzara, C., 2009. Does Internet Banking Add Value? Journal of
Financial Services and Research, 35(1):81-98.
59. Berger, A., Hasan, I., and Zhou, M., 2009. Bank ownership and Efficiency in China: What
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will Happen in the World’s Largest Nation? Journal of Banking and Finance, 33, 113-130.
60. Hasan, I., Wang, H., and Zhou, M., 2009. Do better institutions improve bank efficiency?
Evidence from a transitional economy, Managerial Finance, 35(2):107-127.
61. Ravichandran, T., Han, S., and Hasan, I., 2009. Effect of Institutional Pressures on
Information Technology Investments: An Empirical Investigation. IEEE, Transactions on
Engineering Management, 56(4): 677-691.
62. Evans, P., Hasan, I., and Lozano, A., 2008. Deregulation and Convergence of Banking and
Economic Growth in the EU. Finnish Economic Papers, 2008, 21:104-117.
63. Becchetti, L., Hasan, I., and Wachtel, P., 2008. The Anticipated Effects of EU Enlargement:
Exchange Rate Volatility, Institutions, and Conditional Convergence, Transition Studies
Review, (3): 431-446.
64. Francis, B., Hasan, I., and Hunter, D., 2008. The Role of Currency Risk in Industry Cost of
Capital, Journal of Financial Economics, 90(2):169-196.
65. Chen, Y. and Hasan, I., 2008. Why Do Bank Runs Look Like Panic? A New Explanation,
Journal of Money Credit and Banking, 40: 535-546.
66. Hasan, I., Wachtel, P., and Zhou, M., 2009. Institutional Development, Deepening and
Economic Growth, Journal of Banking and Finance, 33:157-170.
67. Anandarajan, L., Becchetti, L., Hasan, I., and Santos, M., 2008. Analyst’s Forecast Bias:
Rational Judgment or Herd Behavior? Journal of Theoretical Accounting, 4(1):1-3.
68. Ebrahim, A., and Hasan, I., 2008. The Value Relevance of Product Diversification in
Commercial Banks, Review of Accounting and Finance, 7(1):1475-1437.
69. Hasan, I., and Mester, L., 2008. Central Bank Institutional Structure and Effective Central
Banking: Cross-Country Evidence, Comparative Economic Studies, 50:620-645.
70. Hasan, I., and Wang, H., 2008. The U.S. Bankruptcy Law and Private Equity Financing:
Empirical Evidence, Journal of Small Business Economics, 31(1): 5-19.
71. Francis, B., Hasan, I., and Wang, H., 2008. Bank Consolidation and New Business
Formation, Journal of Banking and Finance, 32 (8): 1598-1612.
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72. Anandarajan, A., Becchetti, M., Hasan, I., and Santoro, M., 2008.What Causes Bias in
Analysts’ Forecasts: Why Are They Biased? Journal of Corporate Accounting and
Finance, 18 (3): 75-81.
73. Becchetti, L., Ciciretti, R., and Hasan, I., 2008. CSR News and Financial Market Reaction,
FSR Forum: Corporate Social Responsibility, 4:49-55.
74. Francis, B., Hasan, I., and Sun, X., 2008. Financial Market Integration and the Value of
Global Diversification: Evidence for U.S. Acquirers in Cross-Border Mergers and
Acquisitions, Journal of Banking and Finance, 32 (8): 1522-1640.
75. Anandarajan, A., and Hasan, I., and McCarthy, C., 2007. Use of Loan Loss Provisions for
Capital, Earnings Management and Signaling by Australian Banks, Accounting and Finance,
47: 357-379.
76. Burns, N., Francis, B., and Hasan, I., 2007. Cross-Listing and Legal Bonding: Evidence
from Mergers and Acquisitions, Journal of Banking and Finance, 31(4):1003-1031.
77. Dwyer, G.P. and Hasan, I., 2007. Suspension of Payments, Bank Failures and the Non-public’s
Losses, Journal of Monetary Economics, 54: 565-580.
78. Francis, B., Hasan, I., and Pantzalis, C., 2007. Foreign Currency Exposure and U.S. MNCs
during the Asian Financial Crisis, Advances in Financial Economics, 141- 175.
79. Armington, C., Hasan, I., Kirchhoff, B., and Newbert, S., 2007. The Influence of University
R&D Expenditure on New Business Formations and Employment Growth, Journal of
Entrepreneurship, Theory, and Practice, 543-559.
80. Chen, Y., and Hasan, I., 2006. The Transparency of the Banking System and the Efficiency of
Information-based Bank Runs, Journal of Financial Intermediation, 15: 307-331.
81. Acharya, V., Hasan, I., and Saunders, A., 2006. Diversification Discount in Banking: Evidence
from individual Loan Data, Journal of Business, 79(3): 532-574.
82. Francis, B., Hasan, I., and Hunter, D., 2006. Return and Volatility in the Integrated Equity and
Currency Markets, Journal of Business, 79 (1): 219-258.
83. Goel, R., and Hasan, I., 2006. An IT Professional’s Dilemma: Be an Entrepreneur or a
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Consultant? Netnomics, 10:14-34.
84. Bagella, M., Becchetti, L., and Hasan, I., 2006. Real Effective Exchange Rate Volatility and
Growth: a Framework to Measure Advantages of Flexibility versus Costs of Volatility,
Journal of Banking and Finance, 30: 299-328.
85. Hasan, I., and Zazzara, C., 2006. Pricing Risky Bank Loans in the New Basel 2 Environment,
Journal of Banking Regulation, 7:243-267.
86. Choi, S., and Hasan, I., 2006. Ownership, Governance, and Bank Performance: Korean
Experience, Financial Markets, Instruments, and Institutions, 15(1): 23-48.
87. Anandarajan, A., Hasan, I., and McCarthy, C., 2005. The role of earnings and book values
in pricing stocks: Evidence from Turkey, Advances in International Accounting, 19:5990.
88. Bonin, J., Hasan, I., and Wachtel, P., 2005. Ownership Structure and Bank Efficiency in
Transition Countries, Journal of Banking and Finance, 29: 31-53.
89. Ciciretti, R., Hasan, I., and Zazzara, C., 2005. L’attività di Internet Banking Crea Valore?
Il Caso delle Banche Italiane, N. 9: 123-148.
90. Bonin, J., Hasan, I., and Wachtel, P., 2005. Privatization Matters: Bank Efficiency in
Transition Countries, Journal of Banking and Finance, 29: 2155-2178.
91. Goel, R., Hasan, I., and Ram, R., 2005. Effect of General Uncertainty on Venture-Capital
Investments: A Cross-Country Study, Economia Internazionale International Economics,
LVII (3):305-313.
92. Hasan, I., Siddique, A., & Simaan, Y., 2005. Estimation Risk, Complexity and Portfolio
Selection: How much do Investors Lose, Research in Banking and Finance, 4:361-397.
93. Hasan, I., and Schmiedel, H., 2004, Does Network Add Value? Evidence from the Stock
Exchange. International Review of Financial Analysis, 13:601-619.
94. Hasan, I., and Goel, R., 2004. Funding New Ventures: Some Strategies for Raising Early
Finance. Applied Financial Economics: 773-778.
95. Hasan, I., and Lothian, J., 2004. Euro after Five Years. Journal of International Money
15
and Finance, 23(7): 971-975.
96. Evans, P., Hasan, I., and Tallman, E., 2004. Monetary Explanations of the Great Depression:
A Selective Survey of Empirical Evidence. Economic Review, Federal Reserve Bank of
Atlanta, 3rd Quarter: 1-23.
97. Hasan, I., Lothian, J., and Tarkka, J., 2004. Banking, Development, and Structural Change,
(Editorial), Journal of International Money and Finance, 23(3): 305-310.
98. Hasan, I., Malkamaki, M., and Schmiedel, H., 2003. Technology, Productivity and Stock
Exchanges: A Global Experience Journal of Banking and Finance, 27, 1743-1773.
99. Bagella, M., Becchetti, B., and Hasan, I., 2004. The anticipated and concurring effects of the
EMU: Exchange Rate Volatility, Institutions, and growth, Technology, Productivity and
Growth. Journal of International Money and Finance, 23 (7-8), 1053-1080.
100. Berger, A., Hasan, I., and Klapper, L., 2003. Further Evidence on the Link between Finance
and Growth: An International Analysis of Community Banking and Economic Performance.
Journal of Financial Services and Research, 25(2/3): 169-202.
101. Hasan, I., and Marton, K., 2003. Development and Efficiency of the Banking Sector in a
Transitional Economy: Hungarian Experience. Journal of Banking and Finance, 27,
December: 2249-2271.
102. Anandarajan, A., Hasan, I., and Lozano-Vivas, A., 2003, Capital Management, Earning
Management and Signaling via Loan Loss Provision: Evidence from Spanish Banking Industry
Advances in International Accounting, 16:43-63.
103. Hasan, I., and Wall, L., 2004 Loan Loss Provision, Loan Losses, Global Evidence. Financial
Review, 39(1):129-152.
104. Hasan, I., 2003. Benefits of Economic Integration and Monetary Unions: The Negative
Impact on Growth of ‘Export Portfolio Volatility. Revista Banco Central do Venezuela,
4(1):1-28.
105. Bagella, M., Hasan, I., and Lothian, J., 2002. Financial Integration in the Europe and
Economic Stability: Introductory View. Journal of International Money and Finance,
21:695-698.
16
106. Hasan, I., and Sarkar, S., 2002. Banks’ Option to Lend, Interest Rate Sensitivity and Credit
Availability. Review of Derivative Research, 5(3): 213-250.
107. Francis, B., Hasan, I., and Hunter, D., 2002. Financial Liberalization and Uncovered Interest
Rate Parity. Journal of International Money and Finance, 21: 931–956.
108. Lozano, A., Kumbhakar, S., Lovell, K., and Hasan, I., 2001. Deregulation and Productivity of
Savings Banks. Journal of Money Credit and Banking, 33: 101-121.
109. Hasan, I., and Malkamaki, M., 2001. Is Expansion Cost Effective for Stock Exchanges?
Global Perspectives. Journal of Banking and Finance, 25: 2339-2366.
110. Francis, B., Hasan, I., and Li, Feng, 2001. Initial Public Offerings: A Comparative Analysis
of Local and Foreign Corporations in U.S. Equity Market. Financial Markets, Instruments,
and Institutions, Salomon Center, Stern School, NYU, 10(1): 34-48.
111. Francis, B. and Hasan, I., 2001. A Comparative Analysis of Venture Capital Backed and Non
Venture Capital-backed IPOs. Journal of Financial Services and Research, 19 (2/3):99-113.
112. Hasan, I., Lozano, A., and Pastor, J., 2001. European Bank Performance Beyond Country
Borders: What Really Matters? European Finance Review, 5(1/2): 141-165.
113. Anandarajan, A., Hasan, I., and Lozano-Vivas, A., 2005. Efficiency of Loan Loss Provision:
Spanish Experience. International Journal of Accounting, Auditing and Taxation,
13(2):77-102.
114. Hasan, I., and Lozano-Vivas, A., 2002. Agency Cost, Organizational Form, and Efficiency
of the Spanish Banks. Bulletin of Economic Research, 58-73.
115. Anandarajan, A., Hasan, I., Moyes, G., and Wulsin, F., 2002. Gender, Ethnicity, and
Demographic Factors Influencing Promotions for Auditors: An Empirical Analysis. Advances
in Public Interest Accounting, 9:1-31.
116. Hasan, I., and Simaan, Y., 2000. Rational Explanation of Home Equity Bias. Journal of
International Money and Finance, 19: 331-361.
117. Hasan, I., and Sarkar, S., 2000. Project Selection and Flexibility: A Simple Application of
Option Theory. Journal of Financial Education, 26: 50-60.
17
118. Francis, B., Hasan, I., and Lothian, J., 2001. Capital Market and Models of Exchange Rates.
Applied Financial Economics, 11 (5): 475-481.
119. Hasan, I., and Moyes, G., Likelihood of Being a Manager. Managerial Auditing Journal,
11(3): 41-47.
120. Hasan, I., and Moyes, G., and Wulsin, F., 1999. Certified Public Accountants and
Compensation: An Empirical Analysis. International Journal of Auditing, 3: 207-223.
121. Hasan, I., and Hunter, C., 1999. Income-Smoothing in the Depository Institutions: An
Empirical Investigation. Advances in Quantitative Analysis of Finance and Accounting,
7:1-16.
122. Hasan, I., Hunter, W.C., Mathis, R., 2000. Promotional Expenses, Market Competition,
and Thrift Behavior. Journal of Business Research, 50 (2): 177-184.
123. DeYoung, R., and Hasan, I., 1998. Efficiency of DeNovo Banking Institutions.
Journal of Banking and Finance, 22: 565-587.
124. Carhill, M., and Hasan, I., 1997. "Mutual to Stock Conversion, Information-Cost, and
Performance of Firms. The Financial Review, 32 (3): 1-28.
125. DeYoung, R., Hasan, I., and Kirchhoff, B., 1998. Out-of-State Entry and the Cost Efficiency
of Small Banks. Journal of Economics and Business, 50(2): 191-204. Reprint in The
Regulation and Supervision of Banks, edited by Maximilian J.B. Hall, Edward Edgar
Publishing Limited, 2000.
126. Chang, E., Hasan, I., and Hunter, C., 1998. Efficiency of Multinational Banks: An Empirical
Investigation. Applied Financial Economics, 1998 (8): 689-696.
127. Francis, B., and Hasan, I., 1998. Asymmetric Predictability of Stock Returns and Volatility:
The Impact of Macroeconomic Factors. European Financial Management, 4(2):207-230.
128. Evans, P., and Hasan, I., 1998. The Consumption-Based Asset Pricing Model: International
Evidence. Journal of Multinational Financial Management, 8: 1-22.
129. Hasan, I., and Smith, S.D., 1997. Note on Fixed Cost and the Profitability of Depository
Intermediaries. Managerial and Decision Economics, 18: 47-53.
18
130. Francis, B., and Hasan, I., 1997. Deregulation, Market Structure, and Mortgage Rates.
Southern Business Review, 23 (2): 25-38.
131. Evans, P., and Hasan, I., 1998. Finite Horizon and Consumption Capital Asset Pricing Model.
Research in Finance, 16: 95-106.
132. Alam, M.A., and Hasan, I., 1997. Does Export Lead to Growth? Asian Experience. Journal
of International Economic Studies, 11: 135-151.
133. Hasan, I., and Shao, L.P., 1997. International Credit Management Policies of U.S. MNE
Subsidiaries. Managerial Finance, 23(4): 34-47.
134. Hasan, I., and Rich, D.P., 1997. Financial Services and Demand For Labor. Midwestern
Journal of Business and Economics, 10(3): 1-13.
135. Hasan, I., and Pearce, J.E., 1998. Regional Reciprocal Banking Act: An Analysis of the
Southeastern Banking Market. Southern Business and Economics Journal, 22(1): 18-35.
136. Hasan, I., and Shao, L., 1997. Determinants of Capital Budgeting of Multinational
Subsidiaries: An Econometric Analysis. Multinational Business Review, 1: 68-77.
137. Chishty, M.R.K., Hasan, I., and Smith, S.D., 1996. Underwriter Competition and Initial
Public Offerings. Journal of Business Finance and Accounting, 23 (5, 6): 905-914.
138. Hasan, I., and Hunter, C., 1996. Management Efficiency of Minority and Women-Owned
Banking Institutions. Economic Perspectives, Federal Reserve Bank of Chicago: 1-18.
139. Hasan, I., and Hunter, W.C., 1996. Efficiency of Japanese Multinational Banks in the U.S.
Research in Finance, 14: 157-174.
140. Finnerty, J., Hasan, I., and Simaan, Y., 1996. Designing Investment Strategies for
Hedging the Future Cost of College Education. Journal of Investing, 5(1): 47-58.
141. Hasan, I., and Hasan, T., 1996. Asset-Liability Management and Performance of
Multinational Banks. Global Business Journal, 13(7): 33-43.
142. Hasan, I., and Moyes, G., 1996. An Empirical Analysis on Fraud Detecting Likelihood.
Managerial Auditing Journal, 11(3): 41-47.
19
143. Hasan, I., Shao, A., and Shao, L., 1995. Determinants of International Capital Structure:
An Analysis of Multinational Subsidiaries. Multinational Business Review, 67-77.
144. Evans, P., and Hasan, I., 1995. Loan Demand, Bank Failures, and Panics: A Note. Atlantic
Economic Journal, Volume 23, No. 2.
145. Hasan, I., and Dwyer, G.P. 1994. Bank Runs in the Free Banking Period. Journal of
Money, Credit & Banking, 26(2), May, 1994: 71-88.
146. Hasan, I., Hasan, T., and Pickeral, R., 1995. Are Mortgage Specialized Thrifts Viable?
An Empirical Analysis. International Review of Economics and Finance, 4, 2: 189-204.
147. Evans, P., and Hasan, I., Are Consumers Ricardian? Evidence for Canada. Quarterly Review
of Economics and Finance, Volume 34(1): 25-40.
148. Hasan, I., and Rich, D.P., 1994. Market Competition, Service Quality, and Employment
in Depository Institutions. Southern Business and Economics Journal, Volume 18(1): 5061.
149. Hasan, I., and Hasan, T., 1994. Banking Deregulation and Consumers Benefits: A Regional
Market Analysis. Midwest Review of Finance and Insurance, Vol. 8(1): 45-62.
150. Carhill, M., and Hasan, I., 1994. Going Public: An Analysis of Firm Behavior. Review of
Business, Summer/Fall, Vol. 16(1): 32-39.
151. Fritz, R., and Hasan, I., 1993. Causes for Thrift Nonperformance. Review of Business
Studies, 2(2): 131-141.
152. Eftekhari, H., and Hasan, I., 1994. Cost Efficiency of Multiproduct Thrift Industry: Does
Market Structure Matter? Journal of Financial & Strategic Decisions, 7(1): 75-94.
153. Chishty, M.R.K., and Hasan, I., 1993. Determinants of Underwriters' Contract in Venture
Capital Funded Initial Public Offerings. Midwest Review of Finance and Insurance, 7(1):
61-71.
154. Fritz, R.G., and Hasan, I., 1990. Florida's Underperforming Thrift Industry. Real Estate
Review, 20(4): 56-67.
20
155. Hasan, I., 1991. Valuable Lessons Learned from Banking and Thrift Crisis. Business Credit,
January, 93(11): 19-22.
156. Fritz, R.G., and Hasan, I., 1991. Carolina Thrifts Making Money the Old Fashion Way.
Business Review, Fall: 10-16.
157. Hasan, I., 1989, "More Branching is Increasing Competition for the Thrift Industry," Federal
Home Loan Bank of Atlanta Review, Vol. 38, No. 4: 14-24.
Current Research Projects:
Papers Under Revise-Resubmission and Submitted in Academic Journals:
1.
Francis, B., Hasan, I., Song, L., and Yeung, B., “What determines information content in bank
stock price around the world?” Journal of Financial Intermediation, (conditionally accepted).
2.
Francis, B. and Hasan, I., “An Empirical Investigation of the Firm’s Contract Choice and
the Level of Underpricing of Initial Public Offerings,” Journal of Financial and Quantitative
Analysis, (2nd review).
3.
Francis, B., Hasan, I., Park, J.C., and Wu, Q., “Gender Differences in Financial Reporting
Decision-Making: Evidence from Conservatism,” under review at Contemporary Accounting
Review, (2nd review).
4.
Francis, B., Hasan, I., and Waisman, M., “Geography and Bond Yield” Journal of Financial
and Quantitative Analysis (2nd review).
5.
Hasan, I., Sugheir, J., and Tucci, Chris, “Corporate Governance and Innovation:
Empirical Links between Shareholder Rights, Research and Development Expenditures, and
Patent Productivity,” Industrial and Corporate Change, (2nd review).
6.
Hasan, I., Shaffer, S., and Zhou, M., “New Small Firms and Dimensions of Economic
Performance,” Economic Development Quarterly, (2nd Review).
7.
Francis, B., Hasan, I., Sun, X. and M. Waisman, “Learning by Observing: Evidence from
Cross Border M&As,” Journal of Corporate Finance, (2nd Review).
8.
Francis, B., Hasan, I., and Sharma, Z., “Asymmetric benchmarking – Are Top Management
Teams Paid for Luck or Skill?” submitted to Journal of Corporate Finance, (2nd Review).
9.
Hasan, I., Hoi, C-K, Wu, Q. and Zhang, H. “Beauty is in the Eye of the Beholder: The
21
Effects of Corporate Tax Avoidance on Cost of Bank Loans.” submitted to Journal of
Financial Economics, (2nd Review).
10. Francis, B., Hasan, I., Wu, Q. and Yan, M., “Are Female CFOs Less Aggressive? Evidence
from Tax Aggressiveness,” Journal of American Taxation Association, (2nd Review).
11. Hasan, I., Song, L., and Wachtel, P., “Institutional Development, Intellectual Protection,
Political Pluralism, and Information Content: Evidence from China.” Journal of
Comparative Economics, (2nd review).
12. Hakenes, H., Hasan, I., Molyneux, P. and Xie, R., “Small Banks and Local Economic
Development,” Review of Finance (2nd Review).
13. Francis, B., Hasan, I., and Lingxiang Li., “A Cross-country Study of Legal Environment
and Earnings Management,” The Accounting Review (2nd Review).
14. Francis, B., Hasan, I., and Sun, X., “Home Bias at Selecting Financial Advisors in CrossBorder M&As.” Submitted to International Review of Financial Analysis (2nd Review).
15. Francis, B., Hasan, I., and Sun, X., “Financial Advisors in Cross-Border M&As: An
Empirical Analysis.” Submitted to Journal of Economics and Business (2nd Review).
16. Hasan, I., Jackowicz, K., Kowalewski, O., Market Discipline during Crisis: Evidence
from Bank Depositors in Transition Countries, Journal of Banking and Finance, (2nd
Review).
17. Hasan, I., Massoud, N., Saunders, A., and Song, K., “Should Short-Selling be Restricted
by Regulation?” Review of Corporate Financial Studies, (1st review).
18. Hasan, I., and Wang, H., "Venture Financing and Innovation". Research Policy, (1st
Review).
19. Francis, B., Hasan, I., and Wu, Q., “Do Professors in the Boardroom Impact Firm
Performance?” Financial Management (1st Review).
20. Francis, B., Hasan, I., Sun, X., and Zhou, M., “Political Connections and Going Public: Do
Institutions Matter?” Journal of Financial and Quantitative Analysis, (1st review).
21. Hasan, I., Sun, X., and Siddique, A., “Capital Adequacy: Banks versus Markets,” Journal
of Banking and Finance (1st review).
22
22. Francis, B., Hasan, I., John, K., and Waisman, M., “Urban Agglomeration and CEO Pay,”
Journal of Financial and Quantitative Analysis (1st Review).
23. Hasan, I., Khalil, F., and Sun, X., “Do Intellectual Protection Reforms Create Value?
Evidence from Cross-Border M&As,” Journal of International Business Studies, (1st
Review).
24. Francis, B., Hasan, I., and Liu, L., “Firms’ Intangible Assets and Cost of Bank Loans:
Evidence from Employee Satisfaction,” Journal of Banking and Finance, (1st Review).
25. Fang, Y., Hasan, I., and Marton, K., “Institutional Development and Bank Risk Taking:
Evidence from Transition Economies”, Journal of Banking and Finance, (2nd Review).
26. Hasan, I., Ramirez, G., and Zhang, G., “Lock-In Effects in Relationship Lending: Evidence
from DIP Loans.” Journal of Money, Credit, and Banking, (1st Review).
27. Hasan, I., M. Koetter, B.W. Lensink, and A.J. Meesters, “Bank Efficiency, Financial
Depth, and Economic Growth.” European Journal of Political Economy, (1st Review).
28. Gwilym, O., Hasan, I., Wang, Q., and Xie, R., “In Search of Concepts: Returns, Trading
Volume and Speculative Demand,” Journal of Empirical Finance, (1st Review).
29. Hasan, I., Kobeissi, N., J. Sun, and Wang, H., “Managerial Stability and Innovation”.
Human Resources Management Journal, (1st Review).
30. Clark, B., Francis, B., and Hasan, I., “Cash Holdings and Firm Location.” Submitted to
Review of Corporate Financial Studies, (1st Review).
31. Chen, Y., and Hasan, I., 2012, “Asset Fire Sales, the Threat of Bank Runs, and Contagion,”
submitted to Journal of of Finance, (1st Review).
32. Delis, M., Hasan, I., and Mylonidis, N. “The risk-taking channel of monetary policy in the
USA: Evidence from micro-level data,” submitted to Review of Finance, (1st Review).
33. Delis, M., Hasan, I., and Mylonidis, N. “Foreign bank ownership and income inequality:
Empirical evidence,” submitted to Journal of Political Economics, (1st Review).
34. Delis, M., Hasan, I., and Tsionas, E., “Risk of Financial Intermediaries.” submitted to
Journal of Banking and Finance, (1st Review).
35. Clark, B., Hasan, I., Li, F., and Siddique, A., “Delinquencies and Social Capital: Do
23
Stronger Social Networks Deter Consumer Default? Review of Financial Studies, (1st
Review).
36. Francis, B., Hasan, I., and Sun, X., “CEO Compensation and Covenant Violation,” Journal
of Finance, (1st Review).
37. Fang, Y., Hasan, I., Marton, K., and M. Waisman., 2012. “Institutions, Risk and Tobin’s
Q,” Economic Systems (1st Review).
Working Papers (Completed drafts available but not submitted yet to Journals (some are
waiting for the next submission after being rejected by a journal)
1.
Francis, B., Hasan, I., and Kostova, G., “Cross-Listing and the Sensitivity of Investment to
Stock Price”.
2.
Francis, B., Hasan, I., Hunter, D. and Zhu, Y., “Does Managerial Incentives Impact FX
Exposures? Evidence from CEO Compensation”.
3.
Francis, B., Hasan, I., and Wang, H., “Managerial Labor Market and Payout Policy: Does
State Regulation Matter”.
4.
Berger, A., Hasan, I., Korhonen, I., and Zhou, M., “Diversification Strategies of Russian
Banks.”
5.
Francis, B., Hasan, I., and Hunter, D., “Systematic and Idiosyncratic Risks of Diversified
and Focused Firms: Implications for the Diversification Discount."
6.
Clark, B., Francis, B., and Hasan, I., “Capital Structure and the Speed of Adjustment:
Evidence from around the World.”
7.
Choi, S., Francis, B., Hasan, I., and Song, L., 2010. “Analysts, Insiders, and Institutional
Investors and Firm-Specific Return Variation: Evidence from IPO Companies”.
8.
Francis, B., Hasan, I., and Renzis, T.D., “Performance Pricing Provisions in Bank Loans a
cross-country analysis.”
9.
Francis, B., Hasan, I., M. Kullu and Zhou, M., “Focus versus Diversification: New
Evidence from Individual Loan Data”.
10. Francis, B., Hasan, I., and Zhou, M., “Are Stock Splits Information Events: Evidence from
Bank Loans.”
24
11. Hasan, I., Renzis, T.D., and Schmiedel, H., “Electronic Payment Instruments a Venue for
Economic Growth?”
12. Hasan, I., Lu, H., Takalo, T., and Zhao, M., “Political Pluralism, Intellectual Protection and
Innovation.”
13. Francis, B., Hasan, I., Renzis, T.D., “Bank Loan Contracting and European Integration: the
case of Transition Countries”.
14. Ciciretti, R., Hasan, I., and Waisman, M., “Distribution Strategy and Star Value in the Movie
Industry”.
15. Francis, B., Hasan, I., and Sun, X., “Covenant Violation and CEO Compensation.”
16. Francis, B., Hasan, I., and Wang, H., “Managerial Stability and Initial Public Offerings: The
Effects of not to Compete Covenants”.
17. Francis, B., Hasan, I., and Zhou, M., “Earnings Management, Litigation Risk, and
Underpricing of Technology IPOs”
18. Hasan, I., Meslier-Crouzille, C., Tarazi, A., and Zhou, M., “Are Strategic Alliances Priced
in the Bond Market? Evidence from European Banks.”
19. Hasan, I., Song, L. and Zhang,Y. “Auditor Characteristics and Earning Management in
Banking: An Empirical Examination”.
20. Hasan, I., Kallberg, J., Liu, C., and Sun, X., “Mergers and Target Transparency”.
21. Francis, B., Hasan, I., and Renzis, T.D., “The impact of market and institutional reforms on
bank loan contracting behavior in Transition Countries”.
22. Hasan, I., Kobeissi, N., Wang, H., and Zhou, M., (2012). Bank Financing and New Venture
Formation in China: Quantity vs. Quality.
23. Francis, B., Hasan, I., and Sun, X., “CEO's Political Preferences and Firm's Tax
Avoidance."
24. Francis, B., Hasan, I., and Sun, X., Financial Market Workshop, "CEO's Political
Preferences and Firm's Tax Avoidance."
25. Fang, M., Francis, B., Hasan, I., and Wu, Q, “Executive Social Networks And Earnings
Management.”
26. Francis, B., Hasan, I., Kullu, M., "Operational Strategy, Organizational Structure,
25
Internationalization and Cost of Bank Loans: Evidence from Business Groups."
27. Francis, B., Hasan, I., and Sun, X., “CEO Compensation and Covenant Violation.”
28. Hasan, I., Ramirez, G., and Zhang, G., “Lock-In Effects in Relationship Lending: Evidence
from DIP Loans.”
29. Francis, B., Hasan, I., Song, L. and Yeung, B., "Supervision and Information Content in
Bank Stock Price: Global Evidence."
30. Francis B., Hasan, I., and Liu, L. Does Analyst Coverage Affect the Cost of Bank Loans?”
31. Francis, B., Hasan, I., Hunter, D. and Zhu, Y. “Does Managerial Incentives Impact FX
Exposure? Evidence from CEO Compensation.”
32. Francis, B., Hasan, I., and Liu, L. “Firms' Intangible Assets Investment and Cost of Bank
Loans: Evidence from Employee Satisfaction.”
33. Francis, B., Hasan, I., Song, L., and Yeung, B. “Bank Supervision and Information Content
in Bank Stock Price: Global Evidence.”
34. Fang, Y., Hasan, I., Marton, K., and M. Waisman. 2012. “Institutions, Risk and Tobin’s Q,”
submitted to Economic Systems.
35. Francis, B., Hasan, I., and Sun, X., "CEO's Political Preferences and Firm's Tax
Avoidance,"
36. Hasan, I., Kobeissi, N., Wang, H., & Zhou, M. (2012). Bank Financing and New Venture
Formation in China: Quantity vs. Quality.
37. Hasan, I., Nandy, M., Song, L., and Waisman, M. 2011, "Real versus Accrual-Based
Earnings Management and the Market for Corporate Control"
38. Fang, Y., Hasan, I., Xie, R., and Wang, Q. 2012, “Bad Stock and Volatility.”
Book Chapters
1.
Hasan, I., Schmiedel, H. and Song, L. 2012. “How Stock Exchange Mergers and
Acquisitions affect Competitors’ Shareholder Value: Global Evidence” Handbook of
Research on Stock Market Globalization by Geoffrey Poiras, 181-194, Edward Elgar.
26
2.
Fang, Y., Hasan, I., and Mester, L. 2011. “Institutional Structure and Effectiveness of
Central Banks during the Financial Crisis: an Empirical Analysis” , in Handbook on Central
Banking and Financial Regulation and Supervision After Financial crisis, edited by
Sylvester Eijffinger and Donato Masciandaro, Edward Elgar, UK.
3.
Bonin, J., Hasan, I., and Wachtel, P., 2010. Banking in Transition Economies, Oxford
Handbook on Banking, edited by Berger, A., Molyneux, P., and Wilson, J. (eds), Oxford
Press.
4.
Hasan, I., and Waisman, M., 2011. Foreign IPOs: The Experience of Israeli Firms,
Research Handbook on International Financial Regulation, Alexander, K. and Dhumale, R.
(eds.), Elgar Publishers, UK.
5.
Hasan, I., and Song, L. 2010. Bank Ownership and Performance: Global Evidence?
International Research Handbook for Banking and Governance edited by James Barth and
Clas Wilborg (forthcoming).
6.
Francis, B., Hasan, I., Wang, H., and Zazzara, C., 2009. Securitization and Wealth Effects,
Derivatives, Risk-Return and Subprime, in Savona, P., edited Financial Collapse: How are
the Biggest Nations and Organizations Managing the Crisis? Fondazione CESFIN Alberto
Predieri (eds), Firenze, 223-260.
7.
Berger, A., Hasan, I., and Zhou, M., 2009. Minority Foreign Ownership, Diversification
Strategy, and Institutional development: The Structural Change in Chinese banking industry,
China’s Emerging Financial Markets: Challenges and Opportunities J. Barth, J. Tatom, and
G. Yago (eds), The Milken Institute Series on Financial Innovation and Economic Growth,
Springer.
8.
Hasan, I., and Zhou, M., 2008. Financial Sector Development and Growth: The Chinese
Experience, Domestic Resource Mobilization and Financial Development, Mavrotas, G.
(eds.), Palgrave Macmillan.
9.
Becchetti, L., Hasan, I., and Mavrotas, G., 2008. Education, Institutions, and Growth
Financial Development, Institutions, Growth and Poverty Reduction Guha-Khasnobis, B.
and Mavrotas, G. (eds.), Palgrave Macmillan.
10. Hasan, I., Hasenpusch, T., and Schmiedel, H. 2007, Cross-border mergers and alliances
between exchanges: a global perspective. In World of Exchanges- Adapting to a New
Environment, edited by S. Shojai, Euro-money Books.
11. Becchetti, L., and Hasan, I., The Effects of (within and with EU) Regional Integration on
Exchange Rate Volatility, Institutional Quality and Growth for MENA countries , Financial
Development, Institutions, Growth and Poverty Reduction,Guha-Khasnobis, B. and
27
Mavrotas, G. (eds), Studies in Development Economics and Policy Series, Palgrave
Macmillan.
12. Hasan, I., and Schmiedel, H., 2006. Liquidity, Transaction Cost, and Volatility: European
Exchanges, Technology and Capital Market, Governance, Regulations and Markets, Elsevier.
13. Hasan, I., and Hu, C., Deliberate Underpricing and Price Support: Venture Backed and
Non-Venture Backed IPOs in New Venture Investment: Choices and Consequences, Edited by
A. Ginsberg and I. Hasan, Elsevier Press, 2003.
14. Hasan, I., and Whidbee, D., Does Derivative Increase or Decrease Risk? in Technology,
Innovation and Banking, Ed. R. Ricardo, Sardinia Press, Italy.
15. Hasan, I., Siddique, A., and Simaan, Y., 2005. “Estimation Error and Market Return:
Empirical Perspectives,” Research in Banking and Finance.
16. Hasan, I., 2006. “Liquidity, Transaction Cost, and Volatility: European Exchanges,
Technology and Capital Market, Governance, Regulations and Markets, Elsevier.
17. Francis, B., Hasan, I., and Lothian, J., 2000. "The Montary Model of Exchange Rate: A
Long-run Model,"in Balance of Payments Adjustments, Edited by Augustine Arize et al.,
Greenwood Press: 222-232.
18. Hasan, I., Hunter, W.C., Lozano-Vivas, A., 2000. "Deregulation, Strategy, Bank
Performance, and Efficiency: The Spanish Experience,” Research in International Business
and Finance: Special Issue on European Monetary Union Banking Issues: Historical and
Contemporary Perspectives, Edited by Irene Finel-Henigman, 2000, 14: 203-224.
19. Hasan, I., Hasan, T., and Mathis, R., 2000. Asset-Liability Management and Firm Efficiency:
Evidence from U.S. Multinational Banks," Global Financial Market at the Turn of the Century,
Edited by Ilhan Meric and Gulser Meric, Paragamon Press.
20. Chou, R., Hasan, I., Shen, C., and Vivas-Lozano, A., 2001. "Deregulation and Efficiency of
Financial Institutions: Taiwanese Experience," (co authored with R. Chou, A. Lozano-Vivas,
and C. Shen), Productivity and Efficiency in Asia, [SINICA], edited by Knox Lovell et al. 2001.
21. Chen, T., Hasan, I., Kim, C., and Liew, T., 1995. "Japanese and U.S. Multinational Banks: A
Comparative Analysis," (co-authored with Edward Chang and W. Curt Hunter), in Emerging
Markets in Asia, Edited by Chang-soo Kim, Thomas Liew and Thomas Chen, St. John
University Press, 257-271.
22. Alam, M.A., and Hasan, I., 1996. "Manufactured Exports and Economic Growth: Experience
of Taiwan and South Korea," in Economic Trends And Accounting Practice in Asia, Edited by
Thomas Chen, St. Ibrahim Badawi, Edward B. Flowers, St. John's University Press: 1-20.
28
Federal Reserve and Related Central Bank and U.N. Published Articles or Discussion
Papers
Put 2012 + papers, BOF, ECB, papers.
1.
Fang, Y., Hasan, I., and Wang, H., 2011. Product Market Relationships and Cost of Bank
Loans: Evidence from Strategic Alliances, Bank of Finland Research, Discussion Papers.
2.
Fang, Y., Hasan, I., and Marton, K., 2011. Market Reforms, Legal Changes, and Bank Risk
Taking – Evidence from Transition Economies, Bank of Finland Research Discussion
Papers.
3.
Fang, Y., Hasan, I., and Marton, K., 2011. Bank Efficiency in Transition Economies:
Recent Evidence from South-Eastern Europe, Bank of Finland Research Discussion Papers.
4.
Hasan, I., Schmiedel, H. and Song, L., 2009/2010. Return to Retail Banking and Payments,
European Central Bank Working Paper Series and Bank of Finland Research Discussion
Papers.
5.
Hasan, I., Schmiedel, H., and Song, L., 2010. Growth Strategies and Value Creation: What
Works Best for Stock Exchanges? European Central Bank Working Paper Series and Bank
of Finland Research Discussion Papers.
6.
Choi, S., Francis, B., and Hasan, I., 2010. Cross-Border M&As and Risk: Evidence from
Bond Market, Discussion Paper, Bank of Finland Discussion Paper.
7.
Castelli, A., Dwyer, G.P., and Hasan, I., 2009. Bank Relationships and Firms’ Financial
Performance: The Italian Experience, Bank of Finland Discussion Paper.
8.
Demyanyk, Y. and Hasan, I., 2009. Financial Crisis and Bank Failures: A Review of
Prediction Methods, Bank of Finland Discussion Paper.
9.
Becchetti, L., Carpentieri, A., and Hasan, I., 2009. The Determinants of Option-adjusted
Delta Credit Spreads: A Comparative Analysis of the United States, the United Kingdom
and the Euro Area, Bank of Finland Discussion Paper.
10. Hasan, I., Koetter, M., and Wedow, M., 2009. Regional Growth and Finance in Europe: Is
there a Quality Effect of Bank Efficiency? Bank of Finland Discussion Paper.
11. Ciciretti, R., Dwyer, G., and Hasan, I., 2009. Investment Analysts’ Forecast of Earnings,
Working Paper, Federal Reserve Bank of Atlanta.
29
12. Hasan, I., and Zhou, M., 2009. Institutional Development and Innovation in Chinese
Provinces, Bank of Finland Workshop.
13. Francis, B., Hasan, I., and Sun, X., 2009. Political Connections and the Process of Going
Public: Evidence from China, Bank of Finland Discussion Paper.
14. Hasan, I., Shaffer, S., and Zhou, M., 2009. New small firms and dimensions of economic
performance, Bank of Finland Discussion Papers.
15. Becchetti, L., Ciciretti, R., and Hasan, I., 2009. Corporate social responsibility and
shareholder's value: an empirical analysis, Bank of Finland Discussion Papers.
16. Hasan, I., and Mester, L.J., 2008. Central bank institutional structure and effective central
banking: cross-country empirical evidence, Bank of Finland Discussion Papers.
17. Francis, B., and Hasan, I., Delroy M Hunter: Does hedging tell the full story? Reconciling
differences in US aggregate and industry-level exchange rate risk premia, Bank of Finland
Discussion Papers.
18. Francis, B., Hasan, I., Lothian, J.R., and Sun, X., 2008. The signalling hypothesis revisited:
Evidence from foreign IPOs, Bank of Finland Discussion Papers.
19. Hasan, I., and Zhou, M., 2007. Financial Sector Development and Growth: The Chinese
Experience. Domestic Resource Mobilization and Financial Development, United Nations
Development Programme.
20. Becchetti, L., Ciciretti, R., and Hasan, I., 2007. Corporate Social Responsibility and
Shareholder’s Value: An Event Study Analysis, FRB of Atlanta Working Paper.
21. Castelli, A., Dwyer, G.P., and Hasan, I., 2006. Bank Relationships and Small Firms’
Financial Performance, Working Paper, Federal Reserve Bank of Atlanta.
22. Chen, Y., and Hasan, I., 2006. Bank Panics and Depositors’ Fate, Discussion Paper, Bank of
Finland, Helsinki, Finland.
23. Hasan, I., and Zarrara, C., 2006. Pricing Risky Bank Loans in the New Basel 2 Environment,
Discussion Paper, Bank of Finland, Helsinki, Finland.
24. Hasan, I., and Wall, L., 2005. Loan Loss Provision, Loan Losses, Global Evidence, Discussion
Paper, Bank of Finland, Helsinki, Finland.
25. Berger, A., Hasan, I., and Klapper, L., 2004. “Further Evidence on the Link between Finance
and Growth: An International Analysis of Community Banking and Economic
Performance,” Research Department, Bank of Finland, Finland.
30
26. Hasan, I., and Wall, L., 2004. “Global Practices of Loan Loss Provision and Bank
Performance,” Working Paper, Federal Reserve Bank of Atlanta.
27. Acharya, V., Hasan, I., and Saunders, A., 2003. “Is Diversification Beneficial for Banks?”
Bank of International Settlement, Working Paper, Basle, Switzerland.
28. Hasan, I., and Schmiedel, H., 2003. “Does Network Add Value? Evidence From the Stock
Exchange,” Research Department, Bank of Finland, Helsinki, Finland.
29. Hasan, I., and Sarkar, S., 2002. “Banks’ Option to Lend, Interest Rate Sensitivity and Credit
Availability,” Discussion Paper, Bank of Finland, Helsinki, Finland.
30. Acharya, V., Hasan, I., and Saunders, A., 2002. “The Effects of Focus and Diversification
on Bank Risk and Return: Evidence from Individual Bank Loan Portfolios,” (with V.
Acharya and A. Saunders), CEPR Discussion Paper 3252.
31. Hasan, I., Malkamaki, M., and Schmiedel, H., 2002. “Technology, Productivity and Stock
Exchanges: A Global Experience,” Discussion Paper, March 2002, Research Department,
Bank of Finland, Helsinki, Finland.
32. Francis, B., Hasan, I., and Hunter, D., 2002. “Return and Volatility in the Integrated Equity
and Currency Markets,” Discussion Paper, Bank of Finland, Helsinki, Finland.
33. Francis, B., Hasan, I., and Hunter, D., 2003. “Diversification Discount: Role of Cash Flow,”
Working Paper, Federal Reserve Bank of Atlanta.
34. Acharya, V., Hasan, I., and Saunders, A., 2002. “Is Diversification Beneficial for Banks?”
Bank of International Settlement Working Paper, Basle, Switzerland.
35. Hasan, I., and Schmiedel, H., 2003. “Does Network Add Value? Evidence From the Stock
Exchange,” Research Department, Bank of Finland, Helsinki, Finland.
36. Hasan, I., and Sarkar, S., 2002. “Banks’ Option to Lend, Interest Rate Sensitivity and Credit
Availability,” Discussion Paper, Bank of Finland, Helsinki, Finland.
37. Acharya, V., Hasan, I., and Saunders, A., 2002. “The Effects of Focus and Diversification
on Bank Risk and Return: Evidence from Individual Bank Loan Portfolios,” CEPR
Discussion Paper 3252.
38. Hasan, I., Malkamaki, M., and Schemiedel, H., 2002. “Technology, Productivity and Stock
Exchanges: A Global Experience,” Discussion Paper, Research Department, Bank of Finland,
Helsinki, Finland.
31
39. Francis, B., Hasan, I., and Hunter, D., 2002. "Return and Volatility in the Integrated Equity
and Currency Markets," Discussion Paper, Research Department, Bank of Finland, Helsinki,
Finland.
40. Hasan, I., and Malkamaki, 2000. “Is Expansion Cost Effective for Stock Exchanges: Global
Perspectives,” Discussion Paper, December 2000, Research Department, Bank of Finland,
Helsinki, Finland.
41. Hasan, I., and Marton, K. “Efficiency of Transitional Banks: Hungarian Experience,”
Discussion Paper, 2000, Bank of Finland Institute for Transition Economies, Helsinki, Finland.
42. Hasan, I., Lozano-Vivas, A., and Pastor, J., 2001. "Cross-Border Competition” Discussion
Paper, Research Department, Bank of Finland, Helsinki, Finland.
43. DeYoung, R., Hasan, I., and Kirchhoff, B., 1997. “Out-of-State Banking and Efficiency of
Local Banks,” Working Paper Series 97-7, Office of the Comptroller of Currency.
44. DeYoung, R., and Hasan, I., 1997. “The Performance of De novo Banks,” Working Paper
Series 97-3, Office of the Comptroller of Currency.
45. Dwyer Jr., G.P., and Hasan, I., 1996. “Suspension of Payments, Bank Failures: Public
Losses,” Working Paper Series 96-5, Federal Reserve Bank of Atlanta.
46. Hasan, I., and Hunter, W.C., 1994. “Income-Smoothing Hypothesis: An Analysis in the Thrift
Industry,” Working Paper Series, No. 94-3, Federal Reserve Bank of Atlanta.
47. Smith, S., and Hasan, I., 1992. “A Note on Competition, Fixed Cost, and Performance of
Depository Institutions,” Working Paper Series Publication No. 92-12, Federal Reserve Bank
of Atlanta.
48. Dwyer Jr., G.P., and Hasan, I., 1996. “Suspension of Payments and Bank Failures,” Federal
Reserve Bank of Chicago.
49. Dwyer Jr., G.P., and Hasan, I., 1988. “Contagion Effects and Bank Closed in the Free Banking
Period,” Federal Reserve Bank of Chicago.
Published Refereed Proceedings (not updated since 2006)
1.
Hasan, I., Wachtel, P., and Zhou, M., 2006. “Institutional Development, Financial
Deepening and Economic Growth: Evidence from China,” Proceedings of the 30 Years
Conference of the Journal of Banking and Finance, Beijing.
32
2.
“Bank Ownership and Efficiency in China: What Will Happen in the World’s Largest
Nation?” (with Allen Berger and Mingming Zhou), Proceedings of the 30 Years
Conference of the Journal of Banking and Finance, Beijing, June, 2006.
3.
Francis, B., Hasan, I., and Sun, X., 2006. “Financial Market Integration and Shareholders’
Wealth: Evidence form Cross-Border Mergers and Acquisitions,” Proceedings of the 30
Years Conference of the Journal of Banking and Finance, Beijing.
4.
Francis, B., Hasan, I., and Zhou, M.,“Insider Ownership, Analyst Coverage, and
Underpricing of Technology IPOs,” (with Bill B. Francis and Mingming Zhou), in K. Mark
Weaver (Ed.), Best Paper Proceedings of Sixty-fifth Annual Meeting of the Academy of
Management (CD), ISSN 1543-8643.
5.
Hasan, I., 2005. “The Effects of (within and with EU) Regional Integration: Impact on Real
Effective Exchange Rate Volatility, Institutional Quality and Growth for MENA Countries”
Economic Research Forum.
6.
Becchetti, L, Hasan, I., and Mavaratos, G., 2005.“Education, Financial Institutions,
Inflation and Growth”, WIDER, United Nations Conference Proceedings, Financial Sector
Development for Growth and Poverty Reduction.
7.
Becchetti, L., and Hasan, I., 2005.“Exchange Rate Volatility, Institutional Quality and
Growth” WIDER, United Nations Conference Proceedings, Financial Sector Development
for Growth and Poverty Reduction.
8.
Bonin, J., Hasan, I., and Wachtel, P., 2005. “Effciency of Banks in the Transition
Economies,” 9th Dubrovnik Conference of the Croatian Central Bank.
9.
Anandarajan, A., Francis, B, and Hasan, I., 2003. “Disclosure Requirement and Value
Relevance,” Corporate Governance in Financial Services, Federal Reserve Bank of
Chicago, Bank Structure and Competition.
10. Armington, C., Hasan, I., Kirchhoff, and Newbert, S.L., 2002. “The Influence of R&D
Expenditures on New Firm Formation and Economic Growth,” 22nd Annual BabsonKauffman Entrepreneurship Research Conference, Boulder, Colorado. Paper available in
Frontiers of Entrepreneurship Research – 2002, William Bygrave et al. (eds.), Wellesley,
MA: Babson College.
11. Acharya, V., Hasan, I., and Saunders, A., “Should Bank Be Diversified? Evidence from
Individual Bank Loan Portfolios,” Financial Market and Appropriate Regulation over the
Business Cycle 38th, Chicago Federal Reserve Bank Conference on Bank Structure and
Competition, 308-334
33
12. Hasan, I., 2003. “Diversification Discount in Banking: Italian Experience,” American
Finance Association Meetings, Abstract.
13. Bagella, L., Bechhetti, M., and Hasan, I., 2002. “Integration, Export and Growth,” Tor
Vergata Conference on Banking and Finance.
14. “Analyst’s Forecast Bias: Rational Judgment or Herd Behavior?” (with L. Becchetti, and M.
Santos), Tor Vergata Conference on Banking and Finance, 2002.
15. Anandarajan, A., and Hasan, I., 2002. “Value Relevance of Profit Efficiency,” 3rd SINICA
Conference on Productivity, Taipei, Taiwan.
16. Hasan, I., Malkamaki, M., and Schemiedel, H., 2000. “Technology, Productivity and Stock
Exchanges,” 3rd SINICA Conference on Productivity, Taipei, Taiwan.
17. Evans, P., Hasan, I., and Vivas, A., 2002. “Banking Deregulation and Growth: European
Union Countries,” Villa Mondragone Conference, Rome, Italy.
18. Hasan, I., and Schmiedel, H., 2002. “Network Effect in Stock Exchanges: European
Evidence,” (with H. Schmiedel), Financial Management Association Meetings,
Copenhagen, Denmark.
19. Hasan, I., Malkamaki, M., and Schmiedel, H., 2002. “Technology, Productivity and Stock
Exchanges,” University of Toronto and Journal of Banking Conference, Toronto,
Canada.
20. Francis, B., and Hasan, I., 1999. "Contract Choice and IPOs," European Financial
Management Association Meetings, (abstract) Paris, France.
21. Hasan, I., and Mathis, R., 1999. "Pricing of Euro Futures: Asian Experience,"
Southwestern Finance Association Meetings," Houston, Texas.
22. Francs, B., Hasan, I., and Hu, C., 1999. “A Comparative Analysis Of Venture Capital
Backed and Non Venture Capital-backed IPOs,” European Finance Association
Meetings, Finland.
23. Chou, R., Hasan, I., Shen, C., Lozano, A., and Shen, C., 1999. "Deregulation and Efficiency
of Taiwanese Banks," Productivity and Efficiency Conference, Taipei, Taiwan.
24. Hasan, I., Lozano-Vivas, A., and Pastor, J., 2000. "Cross-Border Competition,” (coauthored with Ana Lozano-Vivas and Jesus Pastor), Wharton Financial Research Center
and Frankfurt Institute of Finance.
25. Hasan, I., Inman, D., and Kabir, R. M., 1999. "Firm Performance and CEO, Board, and
34
Employee Compensation: Dutch Experience," European Productivity and Efficiency
Conference, Copenhagen.
26. Francis, B., and Hasan, I., 2000. “IPOs, Underpricing and Put Options,” Miguel
Hernandez University International Workshop on Banking and Finance, Alicante,
Spain.
27. "Bank Competition Among European Countries” (co-authored with Ana Lozano-Vivas and
Jesus Pastor), Miguel Hernandez University International Workshop on Banking and
Finance, Alicante, Spain, May 2000.
28. Francis, B., and Hasan, I., 2000. “Underpricing of IPOs: Venture Capital Backed versus
Non Venture Capital-backed IPOs,” European IPO 2000 Conference in Amsterdam,
Amsterdam, Netherlands.
29. Hasan, I., and Malkamaki, 2000. “Is Expansion Cost Effective for Stock Exchanges: Global
Perspectives,” (co-authored with Malkamaki), New South Wales Conference Proceedings
on Banking and Finance, Sydney.
30. Hasan, I., and Marton, K., 1998. “Foreign Bank, Competition, and Performance of Banks in
Transition Market: Evidence for Hungary,” Proccedings of the International Trade and
Finance Association Meetings.
31. Hasan, I., Hasan, T., and Mathis, R., 1998. “Asset-Liability Management and Efficiency of
Multinational Banks,” Proccedings of the International Trade and Finance Association
Meetings.
32. Dwyer Jr., G.P., and Hasan, I., 1996. "Suspension of Payments and Bank Failures,"
Rethinking Bank Regulation: What Should Regulators Do? Proceedings of the
Conference on Bank Structure and Competition, Federal Reserve Bank of Chicago: 401420.
33. Alam, M.A., and Hasan, I., 1995. "Export and Economic Growth,” Proceedings of the
Asian Business Conference.
34. Chang, E., Hasan, I., and Hunter, C., 1994. "Efficiency of Japanese Multinational Banks:
An Empirical Analysis," Proceedings of the Asian Business Conference.
35. Hasan, I., and Shao, L., 1994. "Business Strategy of U.S. Multinational Subsidiaries in the
Pacific Basin Countries," Proceedings of the Asian Business Conference: 17-23.
36. Chang, E., Hasan, I., and Hunter, C., 1994. "Ownership Structure, Type, and Efficiency: An
Analysis of U.S. and Foreign Multinational Banks,” Best Paper Award, Best Paper
Proceedings of the Academy of International Business-N.E.: 36-49.
35
37. Hasan, I., and Hasan, T., 1994. Proceedings of the Midwest Business Administration
Association.
38. Hasan, I., and Sethi, A., 1993. "Asset Management, Financing Strategy, and Performance of
Banks: A Comparative Analysis," Best Paper Proceedings of the Academy of
International Business-N.E., 73-92.
39. Chishty, M.R.K., and Hasan, I., 1993. Proceedings of the Midwest Business
Administration Association, 47-64.
40. Dwyer Jr., G.P., and Hasan, I., 1988. "Contagion Effects and Bank Closed in the Free
Banking Period," The Financial Services Industry in the Year 2000: Risk and Efficiency,
Federal Reserve Bank of Chicago, Proceedings of the Conference on Bank Structure and
Competition of the Federal Reserve Bank of Chicago, 153-177.
41. Moyes, G., and Hasan, I., 1996. "An Empirical Analysis on Fraud Detecting Likelihood,"
Academy of International Business-N.E..
42. Hasan, I., Hasan, T., and Shao, L., 1994. "Management Strategy and Performance of
Multinational Banks," Proceedings of the Global Business Association.
43. DeYoung, R., Hasan, I., and Kirchhoff, B., Proceedings of the Academy of Financial
Services Meetings, New York, NY.
44. Hasan, I., and Simaan, Y., 1996. "Rational Explanation of Home Equity Bias," European
Econometric Society Meetings, Istanbul, Turkey.
45. Hasan, I., and Lozano, A., 1996. "Deregulation and Efficiency of Spanish Banks," (coauthored with Ana Lozano), International Trade and Economic Association, Porto,
Portugul.
46. Bordman, S., Hasan, I., and Tedesco, B., 1997. "An Assessment of Teaching Strategies of
an Integrated Economics and Management Courses for Engineers," Progress Through
Partnership, International Engineering Education, 147-166.
47. Bordman, S., Hasan, I., and Tedesco, B., 1997. "From Production Engineering to Financial
Engineering: Preparing Today's Engineering Student," Engineering Education and the
InformationRevolution, American Society for Engineering Education: 147-166.
48. Bordman, S., Elliot, N., Hasan, I., and Milano, J., 1997. "Curriculum Changes and
Innovative Programs at NJIT," National Science Foundation Educators Publications, 6292.
36
49. Bordman, S., and Hasan, I., 1996. "Economics and Management Education for Engineers in
the Next Decades: A Pilot Study," Engineering Education in the 21st Century, American
Society for Engineering Education, June, 213-244.
50. DeYoung, R., and Hasan, I., "Deregulation, Competition, and Efficiency of Banks," South
Asian and Indian Econometric Society, New Delhi, India.
51. Hasan, I., and Lozano, A., 1997. "Agency Cost, Organizational Form, and Efficiency in the
Spanish Banking Industry," INFORM, Barcelona, Spain,.
52. Francis, B., and Hasan, I., 1997. "Asymmetric Predictability of Conditional Variances,"
European Financial Management Association Meetings, Istanbul, Turkey.
53. Hasan, I., and Hunter, C., and Lozano, A., 1998. "Structural Change and Efficiency of
Spanish Depository Institutions," (with Curt Hunter and Ana Lozano, INFORM, Montreal,
Canada.
Research Grants and Contracts
Grant Activities:
1.
“Risk Assessment and Stress Testing on European Banks” European Commission and
National Science Foundation of Greece, (520,000 Euros for 3 years) (Co-PI)
2.
Romanian Grant on “Risk Management”, Unitatea Executivă pentru Finanţarea
Învăţământului Superior, a Cercetării, Dezvoltării şi Inovării – UEFISCDI Ministry of
Education and Research, (300,000 for 3 Years) (PI).
3.
Central Bank of Indonesia Educational Project–Central Bank of Indonesia, Training Executives
- $243,000, Principle Investigator (PI) on behalf of Rensselaer Polytechnic Institute.
4.
“Risk Assessment and Stress Testing on European Banks” funded under the Thales project,
co-financed by the Hellenic Ministry of Education, Life Long Learning & Religious Affairs
and the European Union, approved budget: 519,917 euros, (part of large submission team;
Coordinator: S. Papadopoulos, Democritus University of Thrace), 01/09/2010-31/08/2014.
5.
American Institute of CPAs. “Female CFOs, Financial Reporting Quality, Market Perceptions $5,000 (Co-PI)
6.
Centre for Applied Research in Finance (CAREFIN) – Bocconi University-Italy, “The
impact of Solvency II type regulations on the performance of insurance firms: evidence from
the European Union”, 4,000 euros (Co-PI), Dec 2010 -May 2011.
37
7.
Centre for Applied Research in Finance (CAREFIN) – Bocconi University-Italy,
“Regulations, Institutions and Income Smoothing by Managing Technical Reserves:
International Evidence from the Insurance Industry”, 4,000 euros (Co-PI), June -Nov 2010.
8.
U.S. State Department and University of Delaware “Project on Banking in Eastern and Central
Europe - $20,000, State Department - Bureau of Intelligence and Research - Office of
Outreach under 22USC4501-4508 (Program of Research and Training for Eastern Europe
and the Former Soviet Union (Title VIII, 2009-2010. $20,000 (Co-PI).
9.
Centre for Applied Research in Finance (CAREFIN) – Bocconi University-Italy, “Regulations
and insurance consumption”, 4,000 euros (Co-PIs), Nov 2009 - May 2010.
10. China-Tianjin- Banking Project–Tianjin Economic Development Agency, Training Executives
- $250,000 (PI), Rensselaer Polytechnic Institute.
11. European Union: Forum Euromediterranen Des Instituts De Sciences Economiques:
Research Project-Financial Development, Economic Growth and Poverty Alleviation $30,000 (Co-PI).
12. U.S. Commerce Department – Entrepreneurship in North Africa - $150,000 (Co-PI).
13. Ewin M. Kauffman Foundation and Stern School of Business, New York University, 2008,
$6,000 (PI).
14. Ewin M. Kauffman Foundation and Stern School of Business, New York University, 2007,
$5,000 (PI).
15. Ewin M. Kauffman Foundation and Stern School of Business, New York University, 2005,
$5,000 (PI).
16. FDIC Research Grant, Washington DC, 2007 $10,000 (Co-PI).
17. Broadband Research Foundation, 2003 and 2004. $5,000 (Researcher).
18. Office of Economic Research, Office of Advocacy, U.S. Small Business Administration; the
National Commission on Entrepreneurship; and the National Center for Entrepreneurship
Research, Ewing Marion Kauffman Foundation, 2001 to 2002, $64,000, Investigator.
19. Research Involvement: Grant from EPA Atmospheric Pollution Prevention Program: 19951998, $956,397 (Provided a relatively smaller role as an Investigator).
20. NSF Grant- Investigator for one of the Grant Components: TRP [Technology Reinvestment
38
Project] Grant – NSF Grant ($3 million, 3 years grant): 4 papers are published from my
contribution in this project and delivered at the ASEE and NSF Annual Meetings.
21. Researcher: Environment-Economic Development Grant on Impact of Environmental Statutes,
Rules, and Regulations on New Jersey Industry, $750,000 (Developed over 20 Case Studies as
an Investigator).
Dissertation Chair (initial placement at):
•
Liuling Liu (Bowling Green University, Ohio)
•
Yiwei Fang (Illinois Institute of Technology, Chicago)
•
Majdi Quttainah (University of Kuwait)
•
Mel Kullu (Siena College)
•
Lingxiang Li (Rochester Institute of Technology)
•
Brian Clark (Office of the Comptroller of the Currency, U.S. Treasury)
•
Qiang Wu (Rensselaer Polytechnic Institute)
•
Zenu Sharma (EDECH, Nice, France)
•
Haizhi Wang (Illinois Institute of Technology, Chicago)
•
Maya Waisman (Fordham University)
•
Mingming Zhou (University of Colorado, Colorado Springs)
•
Xian Sun (Johns Hopkins University)
•
Liang Song (Michigan Technological University)
•
Dona Siregar (State University of New York-Oneonta)
•
Sungho Choi (ChonNam National University Korea)
•
Jeff Sugheir (Boise State University)
•
Agatha Jeffers-Gooden (Montclair State University)
•
Jane-Ruang Lin (National Jao-Tong University, Taiwan)
Current PhD Students
•
Gergena Kostova
•
Eric Oforie
•
Yilmaz Gokhan
39
•
Zhu Yun
•
Tianjiao Gao
•
Dami Kabiawu
•
Ming Fang
•
Ning Ren
Dissertation Committee Member and/or External Examiner
•
Tina Viljoen (University of Sydney, Australia)
•
Shafang Li (University of Ljubljana)
•
Franntisek Kopriva (Charles University, Prague)
•
Clovis Rugemintwari (Limoges, France)
•
Wahyoe Soedarmono (World Bank)
•
Sarah Hertz (Rutgers University, now at SUNY-Saratoga)
•
Xiaoqiang Cheng (Catholic Brabant, Belgium, now at Hong Kong Monetary Authority)
•
Thi Hong Duong (University of Western Australia)
•
Min Maung (University of Alberta)
•
Hanna Westman (Swedish School of Economics, now at BOF)
•
QianQian Du (University of British Columbia)
•
Zuzana Fungacova (Charles University, Czech Republic)
•
Aku Partinnen (Swedish School of Economics)
•
Rong Yang (Rochester Institute of Technology)
•
Mahmood Khatib (University of Tel Aviv)
•
Abolghassem Jamshidi (Tilburg University)
•
Rifat Gorenor (Roosevelt University, Illinois)
•
Augusto Hasman (Carlos III, Madrid, Spain)
•
Dong Ling (North Dakota State)
•
Dipanjan Chatterjee (Brock University)
•
Katherine Freeman (N.J. College)
•
Irv Morgan (Bentley University)
40
•
Kim Tai (Pace University)
•
Pisit Chundvam (Thailand Institute of Technology)
•
Shu Han (Yeshiva University, New York City)
•
Zhisheng Li (Western Chinese University)
•
T. J. Wu (Pace University)
•
Wei (Rachel) Xu (N.J. Institute of Technology)
•
Min Maung (University of Alberta)
•
Dinh Ngoc Dinh (La Trobe)
Professional and Public Lectures
(Presented papers at approximately 400 + conferences, workshops and related academic
meetings).
Selected “Invited Speaker” - Presentations
2013
•
FINEST, Limoges, France
•
EBES, Istanbul, Turkey
•
University of Texas San Antonio, Texas
•
UNS University, Solo, Indonesia
•
Technical University of Dresden, Germany
•
Technical University of Crete, Greece
•
Deutsche Bundesbank, Frankfurt, Germany
•
Maastricht University, Netherlands
•
Dutch Central Bank, Amsterdam
2012
•
European Banking Authority, London
•
Luxembourg School of Finance, Luxembourg
•
European Commission-Banking Authority, London
•
IMF, Washington D.C.
41
•
IMF Conference, Doha, Qatar
•
Institute of State and Law and University of Hanoi, Vietnam
•
Charles University, CERGE, Prague
•
Central Bank of Brazil, Sao Paolo
•
Central Bank of Turkey, Istanbul
•
Bogazichi University, Istanbul
•
University of Colorado
•
University of South Florida, Tampa
•
Trinity College, Ireland
•
University of Strasbourg
•
Central Bank of Serbia
2011
•
Bogazichi University, Istanbul
•
Bangor Business School, Wales
•
Banque de France, Paris
•
University of Rome
•
Bank of Finland, Helsinki, Finland
•
Central Bank of Azerbaijan, Baku, Azerbaijan
•
HANKEN, SINICA, Taipei
•
University of Limoges, France
•
Financial Engineering and Banking Society, Crete
•
Astana Economic Forum, Kazakhstan
•
Romanian-American University, Bucharest
•
University of Strasbourg, France
•
Swedish School of Economics, Helsinki
•
Global Development Network, Bogota
•
Central Bank of Columbia
42
2010
•
University of Rome-Tor Vergata
•
Shanghai School of Economics and Finance
•
Xi’an Jao Tung University, Xian
•
Syracuse University
•
Italian Deposit Insurance Corporation, Rome
•
University of Bocconi, Milano
•
University Miguel Hernandez, Alicante, Spain
•
Banco da Brazil, Sao Paolo and Rio
•
Thapar University, Patiala, India
•
University of Bocconi, Economics, Milano
•
Vicariato di Roma, Vatican,
•
U. Delware - State Department, Sofia
•
RIETI- Ministry of Int. Economics, Trade and Industry, Japan
•
Hitotsubhasi University, Tokyo
•
Central Bank of Japan, Tokyo
•
Development Bank of Japan, Tokyo
2009
•
Thamaasat University, Bangkok
•
CESifo, Munich
•
Concordia University, Montreal
•
European Productivity Conference, UK
•
Swiss Ambassador and EPFL, Beirut
•
CESFIN, Italy
•
Leicester University, UK
•
University of Limoges
•
University of Strasbourg, France
•
University of Rome, Italy
43
•
European Central Bank,
•
Chonam University, Korea
•
National Taiwan University
•
Southern Taiwan University
•
Academia Sinica
•
Massey University
2008
•
Australian National University
•
Riks Banks
•
Bank of Finland
•
Robert Schuman University
•
Banque de France
•
University Limoges
•
University of Kansas
•
Federal Reserve Bank of Kansas
•
University of Rome
2007
•
European Central Bank
•
Central Bank of Hungary
•
Federal Reserve Bank of Atlanta
•
University of Verona
•
EPFL, Lussanne
•
Bank of Finland
•
Tilburg University
44
•
Comptroller of Currency, D.C.
•
Central Bank of Croatia
•
University of Rome
•
Central Bank of Bangladesh
•
BOFIT, Helsinki
2006
•
Central Bank of Spain
•
University of Rome
2005
•
EPFL, Lussanne
•
University of Rome
•
Chengchi University, Taiwan
•
HEC, Tunisia
•
WIDER, United Nations
•
Federal Reserve Bank of New York
•
Luiss University
•
BOFIT, Helsinki
2004
•
Swedish School of Economics
•
Trinity College, Dublin
•
Central Bank of Venezuela
2003
•
Central Bank of Croatia
•
Bank of International Settlement
45
2002
•
Federal Reserve Bank of Chicago
•
Center for Financial Studies, Frankfurt
2001
•
University of Cagliari, Italy
•
BOFIT, Helsinki
2000
•
University of Miguel Hernandez, Alicante
•
Wharton Financial Research Center
•
Thamassat University, Bangkok
1999
•
Robert Schuman University, Strasbourg
•
SINICA, Taiwan
1998
•
Tilburg University
•
University of Bergamo, Italy
1997
•
Swedish School of Economics
•
Gothenburg University
1996
•
Comptroller of Currency, D.C.
46
•
University of Nottingham
1995
•
SINICA, Taiwan
•
World Congress of Small Business, Tel Aviv
•
University of Cyprus
•
National University of Singapore, Singapore
•
University of Malaga, Spain
1993
•
I.E.S.A Business School, Venezuela
Selected Refereed Conference Presentations
1.
Hasan, I., Kobeissi, N., Wang, H., & Zhou, M. (2012). Bank Financing and New Venture
Formation in China: Quantity vs. Quality. The Chinese Economists Society (CES) Annual
Conference, Kaifeng, China.
2.
Hasan, I., Kobeissi, N., Wang, H., & Zhou, M. (2012). Bank Financing and New Venture
Formation in China: Quantity vs. Quality. Financial Management Association Annual
Meeting, Atlanta, Georgia.
3.
Chen, Y. and Hasan, I., 2012, “Asset Fire Sales, the Threat of Bank Runs, and Contagion,”
presented at 2012 China International Conference in Finance, Chongqing, China.
4.
Delis, M., Hasan, I., and Mylonidis, N. 2012. “The risk-taking channel of monetary policy
in the USA: Evidence from micro-level data,”
5.
Delis, M., Hasan, I., and Mylonidis, N. 2012. “Foreign bank ownership and income
inequality: Empirical evidence,” BMRC-QASS Conference on Macro and Financial
Economics, Brunel University, June.
6.
Delis, M., Hasan, I., Mylonidis, N. 2012, “Monetary Policy and Lending, Royal Economic
Society Conference, Cambridge, U.K., 2012.
7.
Delis, M., Hasan, I., Tsionas, E., 2012, “Risk of Financial Intermediaries,” French Finance
Association Conference, Strasburg, 2012.
47
8.
Delis, M., Hasan, I., Tsionas, E., 2012, “Risk of Financial Intermediaries,” FEBS
conference, London, 2012.
9.
Clark, B., Hasan, I., Li, F. and Siddique, A. 2012 “Delinquencies and Social Capital: Do
stronger social networks deter consumer default? O.C.C. office, Washington D.C,.
10. Clark, B., Hasan, I., Li, F. and Siddique, A. 2012- “Delinquencies and Social Capital: Do
stronger social networks deter consumer default? (OFR, Washington DC).
11. Francis, B., Hasan, I., and Sun, X., 2012, BEIJING-INFORMS International Meeting, "Do
Institutions Matter? Evidence from China's IPO Process," Qinghua University, Beijing,
China. (June 25, 2012).
12. Francis, B., Hasan, I., and Sun, X., 2012, "CEO's Political Preferences and Firm's Tax
Avoidance," Shanghai University of Finance and Economics, Shanghai, China. (June 12,
2012).
13. Francis, B., Hasan, I., and Sun, X., 2012, Financial Market Workshop, "CEO's Political
Preferences and Firm's Tax Avoidance," Fordham University, NYU & Rensselaer, NYC,
NY. (May 8, 2012).
14. Fang, M., Francis, B., Hasan, I., and Wu, Q, 2012. “Executive Social Networks And
Earnings Management” presented at Financial Management Association Annual Meetings,
Atlanta, GA (2012).
15. Francis, B., Hasan, I., Kullu, M., 2012 "Operational Strategy, Organizational Structure,
Internationalization and Cost of Bank Loans: Evidence from Business Groups," Financial
Management Association International European Conference , held in Istanbul, Turkey, June
2012.
16. Chen, Y., and Hasan, I., 2012, “Asset Fire Sales, the Threat of Bank Runs, and Contagion,”
presented at 2012 China International Conference in Finance, Chongqing, China.
17. Bill B. Francis, Iftekhar Hasan, Xian Sun, Mingming Zhou. 2013 “Do Institutions Matter?
Evidence from the Going Public Process in China”, to be presented at ASSA San Diego
Conference, Jan 3-6, 2013.
18. Hasan, I., Kobeissi, N., Wang, and Zhou., M, 2012, “Bank Financing and New Venture
Formation in China: Quantity vs. Quality” presented at the Financial Management
Association Meetings, Atlanta, Georgia, October 17 - 20, 2012.
19. Hasan, I., Kobeissi, N., Wang, and Zhou., M, 2012, presented at the Chinese Economists
48
Society (CES) China Conference, Kaifeng city, China, June 23-24, 2012.
20. Chih-Yung Lin, I. Hasan, and Chung-hua Shen, 2012, The Political Interferences in
Government Banks: Do the Institutional Factors Matter, Annual Meeting of the Financial
Management Association International, Atlanta, October .
21. Chih-Yung Lin, I. Hasan, and Chung-hua Shen, 2012, The Political Interferences in
Government Banks: Do the Institutional Factors Matter, Eastern Finance Association 2012
Annual Meetings.
22. Chih-Yung Lin, I. Hasan, and Chung-hua Shen, 2012, The Political Interferences in
Government Banks: Do the Institutional Factors Matter, KFA&TFA Joint Conference in
Finance,
National
Taiwan
University.
23. Hasan, I., Xie, R. and Wang, Q. 2012, “Gegynog Accounting and Finance Colloquium,
Gegynog, May 2012 Princeton University & Peking University Symposium on China’s
Financial Markets, Beijing, July 2012.
24. Francis, B., Hasan, I., and Sun, X. 2011, “CEO Compensation and Covenant Violation,”
Financial Management Association Meetings, Denver, Colorado.
25. Francis, B., Hasan, I., and Sun, X., 2011, "CEO Compensation and Covenant Violation,"
Nanjing University, Nanjing, China. (June 2, 2011).
26. Francis, B., Hasan, I., and Sun, X., 2011, "CEO Compensation and Covenant Violation,"
Shanghai Tongji University, Shanghai, China. (June 1, 2011).
27. Francis, B., Hasan, I., and Sun, X., 2011, "CEO Compensation and Covenant Violation,"
Shanghai University of Finance & Economics, Shanghai, China. (May 31, 2011).
28. Francis, B., Hasan, I., and Sun, X., 2011, "CEO Compensation and Covenant Violation,"
Shanghai Jiaotong University, Shanghai, China. (May 30, 2011).
29. Francis, B., Hasan, I., and Wu, Q, 2011, “Professors in the Boardroom: Is there an Added
Value for Academic Directors?” Financial Management Association Meetings, Denver,
Colorado.
30. Francis, B., Hasan, I., and Wu, Q, 2011, “Professors in the Boardroom: Is there an Added
Value for Academic Directors?” Tor Vergata Conference, Rome, Italy.
31. Clark, B., Francis, B., and Hasan, I., 2011, “Country-Level Growth Opportunities and the
Value of Cash,” Financial Management Association Meetings, Denver, Colorado.
49
32. Hasan, I., Ramirez, G., and Zhang, G. 2011, “Lock-In Effects in Relationship Lending:
Evidence from DIP Loans,” Financial Management Association Meetings, Denver,
Colorado.
33. Francis, B., Hasan, I., Song, L. and Yeung, B., 2011,. Research Workshop at Central Bank
of France, "Supervision and Information Content in Bank Stock Price: Global Evidence,"
France.
34. Francis, B., Hasan, I., and Li, L. 2011, “A Cross-Country Study of Legal Environment and
Real Earnings Management,” Financial Management Association Meetings, Denver,
Colorado.
35. Francis, B., Hasan, I., and Liu, L. 2011, Does Analyst Coverage Affect the Cost of Bank
Loans?” Financial Management Association Meetings, Denver, Colorado.
36. Francis, B., Hasan, I., John, K., and Waisman, M. 2011, “Urban Agglomeration and CEO
Compensation,” Financial Management Association Meetings, Denver, Colorado.
37. Francis, B., Hasan, I., and Kostova, G. 2011, “Cross-Listing and the Sensitivity of
Investment to Stock Price,” Financial Management Association Meetings, Denver,
Colorado.
38. Francis, B., Hasan, I., Hunter, D. and Zhu, Y. 2011, “Does Managerial Incentives Impact
FX Exposure? Evidence from CEO Compensation,” Financial Management Association
Meetings, Denver, Colorado.
39. Francis, B., Hasan, I., and Liu, L. 2011, “Firms' Intangible Assets Investment and Cost of
Bank Loans: Evidence from Employee Satisfaction,” Financial Management Association
Meetings, Denver, Colorado.
40. Hasan, I., Khalil, F., and Sun, X. 2011, “Do Intellectual Protection Reforms Create Value?
Evidence from Cross-Border M&As,” Financial Management Association Meetings,
Denver, Colorado.
41. Francis, B., Hasan, I., and Song, L., Yeung, B. 2011, “Bank Supervision and Information
Content in Bank Stock Price: Global Evidence,” Financial Management Association
Meetings, Denver, Colorado.
42. Hasan, I., Meslier-Crouzille, C., Tarazi, A., and Zhou, M. 2011, “Does it Pay to Get
Connected? An Examination of Banks Alliance Network and Bond Spread,” Financial
Management Association Meetings, Denver, Colorado.
43. Fang, Y., Hasan, I., and Marton, K. 2011, “How Institutions Affect Bank Risk – Evidence
from a Natural Experiment in Transition Economies,” Financial Management Association
50
Meetings, Denver, Colorado.
44. Francis, B., Hasan, I., and Li, L. 2011, “A Cross-Country Study of Legal Environment and
Real Earnings Management,” Annual Meetings of the American Accounting Association
Meetings, Denver, Colorado.
45. Francis, B., Hasan, I., and Li, L. 2011, “Real Earning Management and Subsequent Stock
Prices,” Annual Meetings of the Canadian Academic Accounting Association Meetings,
Toronto, Canada.
46. Hasan, I., Kobeissi, N. and Song, L. 2011, “Corporate Governance, Investors Protection and
Firm Performance,” Academy of Management Meetings, San Antonio, Texas.
47. Francis, B., Hasan, I., and Sun, X. 2011, “CEO Compensation and Covenant Violation,”
Midwest Finance Association, Denver, Colorado.
48. Hasan, I., and Song, L. 2011, “Issues in Banking and Governance", University of Limoges,
France. (November 9, 2011).
49. Hasan, I., and Song, L. 2011, "The Contracting and Substitute Role of Accounting
Information in Shaping Bank Loan Contracts" University of Limoges, France. (November 9,
2011).
50. Hasan, I., Nandy, M., Song, L., and Waisman, M. 2011, "Real versus Accrual-Based
Earnings Management and the Market for Corporate Control" Michigan Technological
University.(October,2011).
51. Francis, B., Hasan, I., and Kostova, G., 2011, “Cross-listing, Price Informativeness and the
Sensitivity of Investment to Stock Price”, IFABS 2011 in Rome, Italy.
52. Francis, B., Hasan, I., and Kostova, G. 2011, “Cross-listing, Price Informativeness and the
Sensitivity of Investment to Stock Price”, IV Annual Seminar on Banking, Financial
Stability and Risk 2011 in Sao Paulo, Brazil, August.
53. Fang, Y., Francis, B., Hasan, I., Song, L., 2011, Research Seminar at University of
Limoges, "Do Better Networked Stock Exchanges Provide Higher Stock Liquidity: A Global
Perspective", France. (June 2011).
54. Hasan, I., Song, L., Wachtel, P., 2011, NYU Conference on Chinese Capital Market,
"Institutional Development and Stock Price Synchronicity: Evidence from China", NYC,
USA. (May 2011).
55. Hasan, I., Kobeissi, N., and Song, L., 2011, "Corporate Governance, Investor Protection,
and Firm Performance in MENA Countries" Economic Research Forum, Antalya, Turkey.
51
(April 2011).
56. Hasan, I., Kobeissi, N., and Song, L., 2011, "How Stock Exchange M&As Affect their
Competitors’ Shareholder Value? Evidence from the World and MENA Region" Economic
Research Forum, Antalya, Turkey. (April 2011).
57. Francis, B., Hasan, I., and Waisman, M. 2011, “Urban Agglomeration and the Cost of
Corporate Debt,” Financial Management Association, Semifinalist, Best Paper Award,
Denver, Colorado, October, 2011.
58. Francis, B., Hasan, I., and Sharma, Z. 2011, The Bright Side of Asymmetric Benchmarking:
Evidence from Top Management Team Members 2011 International Finance and Banking
Society conference on “Financial Intermediation, Competition and Risk,” University of
Rome III, 30 June -2 July 2011.
59. Gupta, A., Francis, B., and Hasan, I., 2011, Impact of Compensation Structure and
Managerial Incentives on Bank Risk Taking, Institute for Development and Research in
Banking Technologies, Reserve Bank of India Institute, Hyderabad, Jan 6, 2011.
60. Gupta, A., Francis, B., and Hasan, I., 2011, Impact of Compensation Structure and
Managerial Incentives on Bank Risk Taking, International Risk Management Conference,
University of Amsterdam, Amsterdam, Netherlands, June.
61. Francis, B., Hasan, I., and Waisman, M. 2011, “Urban Agglomeration and the Cost of
Corporate Debt,” FMA European Conference, Semifinalist, Best Paper Award, Porto,
Portugal, June 2011.
62. Francis, B., Hasan, I., and Waisman, M. 2011, “Urban Agglomeration and the Cost of
Corporate Debt,” European Finance Association, Stockholm, Sweden, August 2011.
63. Delis, M., I. Hasan, and N. Mylonidis, “Foreign bank ownership and income inequality:
Empirical evidence,” BMRC-QASS Conference on Macro and Financial Economics, United
Kingdom.
64. Céline Crouzille, Iftekhar Hasan, and Amine Tarazi , Mingming Zhou, “Does It Pay To
Get Connected? An Examination of Banks’ Alliance Network and Bond Spread” presented
at 2011 Financial Management Association Meetings, Denver, Colorado, October 19-22,
2011.
65. Hasan, I., Sugeir, J. And Tucci, C. 2011, "The market for corporate control protection and
the inventive productivity of technology-based firms." Academy of Management Annual
Meeting, Anaheim, CA, August 11, 2008.
66. Hasan, I., Sugeir, J. And Tucci, C. 2011, "The market for corporate control protection and
52
the inventive productivity of technology-based firms." Corporate Governance Conference,
University of Missouri, Columbia, MO, May 21, 2011.
67. Hasan, I., Sugeir, J. And Tucci, C. 2011"The market for corporate control protection and
the inventive productivity of technology-based firms." Presented at the National University
of Singapore Business School, October 14, 2011.
68. Francis, B., Hasan, I., Song, L., Yeung, B. 2011, Annual Conference of the Center for
Economics and Econometrics, "Bank Supervision and Information Content in Bank Stock
Price? Global Evidence," Istanbul, Turkey.
69. Hasan, I., Song, L., Wachtel, P., 2011, NYU Conference on Chinese Capital Market,
"Institutional Development and Stock Price Synchronicity: Evidence from China," NYC,
USA. (2011).
70. Fang, Y., Francis, B., and Hasan, I., and Song, L., Research Seminar at University of
Limoges, "Do Better Networked Stock Exchanges Provide Higher Stock Liquidity: A Global
Perspective," France. (2011).
71. Hasan, I., and Song, L., The Contracting and Substitute Role of Accounting Information in
Shaping Bank Loan Contracts," University of Limoges, France. (2011).
72. Berger, A. Hasan, I., Korhonen, I. and Zhou, M. “Focus – Diversification and Risk – Return
Tradeoff in Banking: Evidence from Russia,” International Finance and Banking Society
conference on “Financial Intermediation, Competition and Risk”, Rome, Italy, July 2011.
73. Hasan, I., Kobeissi, N. and Song, L. “Corporate Governance, Investor Protection, and Firm
Performance in MENA Countries” Economic Research Forum's 17th Annual conference,
Antalya, Turkey, April, 2011.
74. Hasan, I., Kobeissi, N. and Song, L. “Corporate Governance, Investor Protection, and Firm
Performance in MENA Countries Academy of Management Annual Meetings, 2011, San
Antonio, TX.
75. Cirstea, I. Simona, Hasan, I., and Kumar, S., Knowledge Flows in Related and Unrelated
Areas: Evidence from R&D Alliances, Academy of Management Annual Meetings , 2011,
San Antonio, TX.
76. Hasan, I., Kobeissi, N. and Song, L. “How Stock Exchange M&As Affect their
Competitors’ Shareholder Value? Evidence from the World and MENA Region” Economic
Research Forum's 17th Annual conference, Antalya, Turkey, April, 2011.
77. Francis, B., Hasan, I., Sun, X. and Zhou, M “Political Connections and Cost of Going
Public: Do Institutions Matter?,” Netherlands, October 2010.
53
78. Fang, Y., Francis, B., Hasan, I., Song, L. "Do Better Networked Stock Exchanges Provide
Higher Stock Liquidity: A Global Perspective". Financial Management Association Annual
Meeting, 2010, New York, NY.
79. Francis, B., Hasan, I., and Wang, Haizhi “Product Market Relationship and Cost of Bank
Loans: Evidence from Strategic Alliance Network,” Midwest Finance Association Annual
Meeting, Las Vegas, NV (2010).
80. Hasan, I., Kobeissi, N. Sun, J. and Wang, H, “The Mobility of Human Capital and Firm
Innovation,” co-authored with Iftekhar Hasan, Nada Kobeissi, and Jiong Sun, Academy of
Management Annual Meeting, Montreal, Canada (August, 2010)
81. Gaganis C., Hasan I., Pasiouras F., Regulations, Institutions and Income Smoothing by
Managing Technical Reserves: International Evidence from the Insurance Industry,
Workshop on Regulations, Capital Markets, and Financial Institutions: The Post Crisis Era,
Chania, 13-14 June 2011
82. Gaganis C., Hasan I., Pasiouras F., Profit efficiency and stock returns: Evidence from the
insurance industry, 2010 Conference of the EURO Working Group on Efficiency &
Productivity Analysis, Chania, 2-4 July 2010.
83. Francis, B., Hasan, I., Wu, Q.. ‘Professors in the Boardroom, Is There An Added Value?’
Financial Management Association annual meeting. October 2010, New York City, NY.
84. Francis, B., Hasan, I., Wu, Q.. ‘The Impact of CFO Gender on Bank Loan Contracting’
American Accounting Association annual meeting. August 2011, Denver, CO.
85. Hasan, I., Siddique, A. and Sun, X. Nanjing University, June 2010. Capital Adequacy
Revisit: Market Perspective, Nanjing, China.
86. Hasan, I., Siddique, A. and Sun, X. China Banking Regulatory Commission, June 2010.
Capital Adequacy Revisit: Market Perspective, Beijing, China.
87. Hasan, I., Kobeissi, N., Sun, J., and Wang, H., Academy of Management Annual Meeting,
August, 2010. The Mobility of Human Capital and Firm Innovation, Montreal, Canada.
88. Fang, Y., Francis, B., Hasan, I., and Wang, H., MFA Annual Meeting, March, 2010.
Product Market Relationship and Cost of Bank Loans: Evidence from Strategic Alliance
Network, Reno, NV.
89. Francis, B., Hasan, I., Song, L., and Yeung, B., Université de Limoges, May 2010. What
Determines Information Content in Bank Stock Price around the World? Global Evidence.
France.
54
90. Francis, B., Hasan, I., Song, L., and Yeung, B., FIRS Conference on Banking, Insurance
and Intermediation, June 2010. What Determines Information Content in Bank Stock Price
around the World? Global Evidence, Florence, Italy.
91. Francis, B., Hasan, I., Song, L., and Yeung, B., March 2010. Bank Supervision and
Information Content in Bank Stock Price? Global Evidence, Development Bank of Japan,
Japan.
92. Hasan, I., Schmiedel, H., and Song, L., June 2010. Return to Retail Banking and Payments
Markets: Theory, Evidence and Policy, Granada, Spain.
93. Hasan, I., Schmiedel, H., and Song, L., FMA Annual Meeting, October 2010. Return to
Retail Banking and Payments, New York, NY, USA.
94. Fang, Y., Francis, B., Hasan, I., Schmiedel, H., and Song, L., RIETI (Ministry of
International Economics, Trade and Industry), March 2010. Developments in Stock
Exchanges: A Global Perspective, Japan.
95. Hasan, I., Song, L., and Wachtel, P., July 2010. “Institutional Development and Stock Price
Synchronicity: Evidence from China”, (Liang Song and Paul A. Wachtel), Bridging the
GAAP: Recent Advances in Finance and Accounting, the Hebrew University of Jerusalem,
Israel, July 2010.
96. Francis, B., Hasan, I., Sun, X., and Zhou, M., Journal of Bank and Finance Special Issue on
the International Corporate Finance and Governance Symposium, October, 2010. Political
Connections and Cost of Going Public: Do Institutions Matter? University of Twente,
Netherlands.
97. Hasan, I., Lu, H., Takalo, T., and Zhou, M., Federal Reserve Bank, June 2010. Rule of Law,
Political Institutions, and Innovation? An Empirical Investigation. Cleveland, OH.
98. Berger, A., Hasan, I., and Zhou, M., ASSA/ACES (Association for Comparative Economic
Studies) Annual Meetings, January, 2010. Focus versus Diversification: Evidence from the
Chinese Banks. Atlanta, Georgia.
99. Francis, B., Hasan, I., John, K., and Waisman, M., July 2010. Urban Agglomeration and
CEO Pay, EURO Working Group on Efficiency & Productivity Analysis International
Conference, Crete, Greece.
100.Francis, B., Hasan, I., Kullu, M., and Zhou, M., October, 2010. The Impact of
Diversification on Bank Return and Risk: A Study of Japanese Banking Industry , New
York, USA.
55
101.Fang, Y., Hasan, I., and Marton, K., Academy of International Business ,2010.
Multinationalizations and Efficiency of Banks in Transition: Recent Evidence from SouthEastern Europe. Rio de Janeiro, Brazil.
102.Fang, Y., Hasan, I., and Marton, K., July 2010. Banking Sector Development in SouthEastern European Transition Economies, U.S. Department of State, Bureau of Intelligence
and Research, and University of Delaware, Sofia, Bulgaria.
103.Fang, Y., Hasan, I., and Marton, K., July 2010. Institutional Development and Bank Risk
Taking: Evidence from Transition Economies, U.S. Department of State, Bureau of
Intelligence and Research, and University of Delaware, Sofia, Bulgaria.
104.Fang, Y., Hasan, I., and Marton, K., July 2010. The Effects of Diversification on Bank
Performance during Institutional Transitions, U.S. Department of State, Bureau of
Intelligence and Research, and University of Delaware, Sofia, Bulgaria..
105.Francis, B., Hasan, I., Wu, Q., and Zhou, M., FMA Annual Meeting, October, 2009.
Control Rights and Cost of Debt, Evidence from Dual Class Firms. Reno, NV.
106.Francis, B., Hasan, I., Park, J.C., and Wu, Q., FMA, October 2009. Gender Differences in
Accounting Decision Making: Evidence from Accounting Conservatism. Reno, NV.
107.Yao, Y., Yang, R. and Hasan, I., 2009, "Government Intervention and Institutional Trading:
Evidence from China" The 2009 American Accounting Association Annual Meeting, New
York City, NY, August 1-5.
108.Hasan, I., Park, J.C., and Wu, Q., AAA Annual Meeting, 2009. Earnings Predictability and
Cost of Bank Loans. New York, NY.
109.Francis, B., Hasan, I., Park, J.C., and Wu, Q., AAA Annual Meeting, August 2009. Gender
Differences in Accounting Decision Making: Evidence from Accounting Conservatism.
New York, NY.
110.Francis, B., Hasan, I., Koetter, M., and Wu, Q., MFA Annual Meeting, January 2009. The
Effectiveness of Corporate Boards: Evidence from Bank Loan Contracting. Chicago, IL.
111.Hasan, I., Kobeissi, N., and Wang, H., Academy of Management Annual Meeting. 2009,
Global Equity Offerings, Corporate Valuation and Subsequent International Diversification.
Chicago, IL.
112.Fang, Y., Francis, B., Hasan, I., and Wang, H., FMA Annual Meeting, October, 2009.
Product Market Relationship and Cost of Bank Loans: Evidence from Strategic Alliance
Network. Reno, NV.
56
113.Francis, B., Hasan, I., and Wang, H., FMA Annual Meeting, October, 2009. Bank
Branching Deregulation and Corporate Cash Holdings: US Evidence. Reno, NV.
114.Francis, B., Hasan, I., and Song, L., FMA Annual Meeting, October 2009. Agency Problem
and Investment-cash flow Sensitivity: Evidence from Antitakeover Legislation. Reno, NV.
115.Francis, B., Hasan, I., Song, L., and Yeung, B., IV Annual Seminar on Banking, Financial
Stability and Risk, Brazilian Central Bank, August 2009. What Determines Information
Content in Bank Stock Price around the World? Global Evidence. Brazil.
116.Francis, B., Hasan, I., Song, L., and Yeung, B., Research Workshop, Central Bank of
Finland, August 2009.What Determines Information Content in Bank Stock Price around the
World? Global Evidence. Finland.
117.Francis, B., Hasan, I., Song, L., and Francis, B, FMA Annual Meeting, October 2009. What
Determines Information Content in Bank Stock Price around the World? Global Evidence.
Reno, Nevada, USA.
118.Francis, B., Hasan, I., Song, L., and Francis, B, IV Annual Seminar on Banking, Financial
Stability and Risk, Brazilian Central Bank, August 2009. Bank Supervision and Information
Content in Bank Stock Price? Global Evidence. Brazil.
119.Francis, B., Hasan, I., Song, L., and Francis, B, Research Workshop, Central Bank of
Finland, August 2009. Bank Supervision and Information Content in Bank Stock Price?
Global Evidence. Finland.
120.Francis, B., Hasan, I., and Song, L., the 2nd Conference on Corporate Governance in
Emerging Markets, July 2009. Are Firm- and Country-Specific Governance Substitutes?
Evidence from Financial Contracts in Emerging Markets. Sao Paula, Brazil.
121.Francis, B., Hasan, I., and Song, L., June 2009. Are Firm- and Country-Specific
Governance Substitutes? Evidence from Financial Contracts in Emerging Markets,
University of Limoges, Limoges, France.
122.Hasan, I., Schmiedel, H., and Song, L., A joint Conference by the European Central Bank
and De Nederlandsche Bank, May 2009. Return to Retail Banking and Payments, Retail
Payments: Integration and Innovation. Frankfurt, Germany.
123.Hasan, I., Schmiedel, H., and Song, L., XVIII International Tor Vergata Conference on
Money, Banking and Finance, December 2009. Return to Retail Banking and Payments.
Rome, Italy.
124.Francis, B., Hasan, I., and Sharma, Z., FMA Annual Meeting, October 2009. Do Incentives
Commit Managers: Evidence from Effect of Leverage on Growth. Reno, Nevada, U.S.A.
57
125.Curcio, D., and Hasan, I., 2009. “Loan Loss Provisions, Earning Management and
Signalling. European Financial Management Association (EFMA) Milan, June 24-27.
126.Francis, B., Hasan, I., and Sharma, Z., Tor Vergatta Conference, 2009. Do Incentives
Commit Managers: Evidence from Effect of Leverage on Growth. Rome, Italy.
127.Francis, B., Hasan, I., and Sharma, Z., 2009. Do Incentives Commit Managers: Evidence
from Effect of Leverage on Growth, Maastricht University, Maastricht, Netherlands.
128.Francis, B., Hasan, I., and Renzis, T.D., FMA Annual Meeting, October 2009. Performance
Pricing Provisions in Bank Loans a cross-country analysis. Reno, USA.
129.Francis, B., Hasan, I., Wu, Q., and Zhou, M., FMA Annual Meetings, October 2009. Dual
Class Shares and Cost of Bank Loans. Reno, Nevada.
130.Hasan, I., Lu, H. Takalo, T., and Zhou, M., Bank of Finland Research Seminar, August
2009. Do Financial, Legal and Political Institutions Affect Innovation? Evidence from
China. Helsinki, Finland.
131.Berger, A., Hasan, I., Korhonen, I., and Zhou, M., International Academic Conference,
April 2009. Focus-Diversification and Risk-Return Tradeoff in Banking: Evidence from
Russia. Moscow, Russia.
132.Hasan, I., Lu, H., Takalo, T., and Zhou, M., APEE (The Association of Private Enterprise
Education) International Conference, April 2009. Intellectual Protection, Property Rights,
Political Pluralism, and Innovation: Evidence From Chinese Provincial Data. Guatemala
City, Guatemala.
133.Francis, B., Hasan, I., and Waisman, M., The Macroeconomic Analysis and International
Finance Conference, Greece, May 2009. Urban Agglomeration and the Cost of Corporate
Debt. Greece.
134.Francis, B., Hasan, I., and Song, L, May 2009. Are Country- and Firm-level Governance
Substitutes? Evidence from Emerging Markets. Limoges, France.
135.Francis, B., Hasan, I., and Song, L, China Academic Association of USA, NY , September,
2009. Are Country- and Firm-level Governance Substitutes? Evidence from Emerging Markets.
136. Hasan, I., Central Bank of Brazil, August 2009. Bank Supervision and Information Content:
Global Evidence. Brazil.
137. Francis, B., Hasan, I., and Wu, Q., September 2009. Bank Board and Financial Crisis,
Ravenna, Italy
58
138. Hasan, I., Schmiedel, H., and Song, L., European Central Bank, September 2009. Payment
System and Retail Banking, Frankfurt, Germany.
139.Hasan, I., Schmiedel, H., and Song, L., June 2009. Return to Retail Banking and Payments ,
Tor Vergata, Italy, December.
140. Francis, B., Hasan, I., and Sharma, Z., EPFL and Switzerland Embassy conference.
Compensation Incentive and Innovation. Beirut, Lebanon.
141. Francis, B., Hasan, I., and Song, L, Financial Management Association, October 2009.
Agency problem and investment-cash flow sensitivity: Evidence from antitakeover
legislation, Reno, Nevada.
142.Distinguin, I., Hasan, I., Tarazi, A., ERF Meetings, 2009. The Use of Accounting Data to
Predict Bank Financial Distress in MENA Countries. Cairo, Greek.
143.Francis, B., Hasan, I., Park, J.C., and Wu, Q., Financial Management Association, October
2009. Gender Differences in Financial Reporting Decision-Making: Evidence from
Accounting Conservatism.
144. Francis, B., Hasan, I., and Wang, H., Financial Management Association, October 2009. Bank
Branching Deregulation, Consolidation, and Corporate Cash Holdings: U.S. Evidence. Reno,
Nevada.
145.Fang, Y., Francis, B., Hasan, I., and Wang, H., Fiancial Management Association, October
2009. Product Market Relationships and Cost of Bank Loans: Evidence from Strategic
Alliances.
146. Francis, B., Hasan, I., Wu, Q., and Zhou, M., Financial Management Association, October
2009. Dual Class Shares and Bank Loan Pricing. Reno, Nevada.
147. Francis, B., Hasan, I., and Sharma, Z., Financial Management Association, October 2009. Do
Incentives Create Innovation - Evidence from CEO Compensation Contracts. Reno, Nevada.
148. Francis, B., Hasan, I., and Song, L., Financial Management Association, October 2009. What
Determines Information Content in Bank Stock Price? Global Evidence. Reno, Nevada.
149. Francis, B., Hasan, I., and Renzis, T.D., Financial Management Association, October 2009.
Performance Pricing Provisions in Bank Loans: A cross-country analysis. Reno, Nevada.
150. Francis, B., Hasan, I., and Wang, H., Midwest Finance Association Meetings, March 2009.
Banking Deregulation and Corporate Cash Holdings: US Evidence. Chicago, IL.
59
151. Hasan, I., Takalo, T., and Zhou, M., the Association of Private Enterprise, April 2009.
Intellectual Protection, Property Rights, Political Pluralism, and Innovation: Evidence from
Chinese Provincial Data. Guatemala City.
152. Clark, B., Francis, B., Hasan, I., the Association of Private Enterprise, April 2009. Do Firms
Adjust to a Target Capital Structure? Evidence from Around the World, Guatemala City.
153. Francis, B., Hasan, I., and Song, L., Emerging Market conference, May 2009. Are Countryand Firm-level Governance Substitutes? Evidence from Emerging. Sao Paolo, Brazil.
154. Francis, B., Hasan, I., and Song, L., May 2009. Are Country- and Firm-level Governance
Substitutes? Evidence from Emerging. Limoges, France.
155. Francis, B., Hasan, I., and Song, L., China Academic Association of USA, NY, September
2009. Are Country- and Firm-level Governance Substitutes? Evidence from Emerging.
156. Francis, B., Hasan, I., Park, J.C., and Wu, Q., AAA conference, August 2009. Gender
Differences in Financial Reporting Decision-Making: Evidence from Accounting
Conservatism. New York City.
157.Clark, B., Francis, B., and Hasan, I., the Association of Private Enterprise, April 2009. Do
Firms Adjust to a Target Capital Structure? Evidence from Around the World. Guatemala
City.
158.Francis, B., Hasan, I., and Song, L., Financial Management Association, October 2008.
Corporate Governance, Creditor Protection, and Bank Loan Contracting in Emerging
Markets. Dallas, USA.
159.Francis, B., Hasan, I., and Waisman, M., Financial Management Association, October 2008.
Urban Agglomeration and CEO Pay. Dallas, USA.
160.Clark, B., Francis, B., and Hasan, I., Financial Management Association, October 2008.
Geography and Cash Holdings. Dallas, USA.
161.Francis, B., Hasan, I., and Sharma, Z., Financial Management Association, October 2008.
Pay-Gap and Total Factor Productivity. Dallas, USA.
162.Francis, B., Hasan, I., and Zhou, M., Financial Management Association, October 2008.
The Effects of Stock Splits on Pricing and Bid-Ask Spread of Syndicated Loans. Dallas,
USA.
163.Francis, B., Hasan, I., and Sun, X., Emerging Market Conference, Novermber 2008.
Political Connections and the Process of Going Public: Evidence from China. London, UK.
60
164.Francis, B., Hasan, I., and Sun, X., Australasian Banking and Finance Conference,
December 2008. Political Connections and the Process of Going Public: Evidence from
China.
165.Francis, B., Hasan, I., and Waisman, M., Australasian Banking and Finance Conference,
December 2008. Geography and Bond Yield.
166.Francis, B., Hasan, I., and Wang, H., 2007. Bank Consolidation and New Business
Formation. Orlando, FL.
167.Francis, B., Hasan, I., and Wang, H., 2007. Bank Consolidation, New Business Formation
and Personal Bankruptcy Filings. FDIC Headquarters, Washington D.C..
168.Francis, B., Hasan, I., and Wang, H., Financial Management Association, 2007. Managerial
Stability and Initial Public Offerings: The Effects of Covenants Not to Compete. Orlando,
FL..
169.Francis, B., Hasan, I., and Wang, H., 2007. Bank Consolidation and New Business
Formation and Bankruptcy. Stern School of Business, New York University, New York
City.
170.Francis, B., Hasan, I., and Sharma, Z., Financial Management Association Annual Meeting,
2007. Leverage, Growth and Managerial Compensation. Orlando, FL.
171.Francis, B., Hasan, I., and Wang, H., 2007. Bank Consolidation and New Business
Formation. Center for Financial Analysis & Policy, Judge Business School, The University
of Cambridge, Cambridge, United Kingdom.
172.Francis, B., Hasan, I., and Wang, H., conference in honor of Steve Smith, 2007. Bank
Consolidation and New Business Formation. Federal Reserve Bank of Atlanta, Atlanta, GA.
173.Francis, B., Hasan, I., and Song, L., First International Conference on Asia–Pacific
Financial Markets, 2006. Agency Cost and Investment to Cash Flow Sensitivity: Evidence
from Anti-takeover Legislation. South Korea.
174.Francis, B., Hasan, I., John, K., and Song, L., Financial Management Association Annual
Meeting, 2007. Agency Cost and Dividend: Evidence from Anti-takeover Legislation.
Orlando, FL.
175.Choi, S., Francis, B. and Hasan, I., Conference of the European Central Bank on Financial
Integration and Stability, December 2006. Cross-Border M&A Bank Stability: Evidence
from Bond Yield Spreads. Spain.
61
176.Francis, B. Hasan, I., and Siregar, D., Financial Management Association Conference,
October 2006. The Choice of IPO versus M&A: Evidence from Banking Industry. Utah.
177.Francis, B., Hasan, I., and Sun, X., Financial Management Association Conference, October
2006. How Do firms Choose Financial Advisors and Why Do They Switch. Utah.
178.Francis, B., Hasan, I., and Sun, X., Financial Management Association Conference, October
2006. Political Connections and the Process of Going Public: Evidence from China. Utah.
179.Francis, B., Hasan, I., Lothian, J., and Sun, X., Asian FA-FMA, July 2006. Financial
Market Integration and Internal Capital Markets: International Evidence. New Zealand.
180.Francis, B., Hasan, I., and Sun, X., XV International Tor Vergata Conference, December
2006. Political Connections and the Process of Going Public: Evidence from China. Italy.
181.Hasan, I., Wachtel, P., and Zhou, M., Thirty Years Conference of the Journal of Banking and
Finance, June 2006. Institutional Development, Financial Deepening and Economic Growth:
Evidence from China. Beijing, China.
182.Berger, A., Hasan, I., and Zhou, M., Thirty Years Conference of the Journal of Banking and
Finance, June 2006. Bank Ownership and Efficiency in China: What will happen in the
World’s Largest Nation? Beijing, China.
183.Francis, B., I. Hasan, and Sun, X., Thirty Years Conference of the Journal of Banking and
Finance, June 2006. Financial Market Integration and Shareholders’ Wealth: Evidence form
Cross-Border Mergers and Acquisitions. Beijing, China.
184.Hasan, I., and Wang, H., the Academy of Entrepreneurial Finance (AOEF) Annual Meeting,
April 2006. The U.S. Bankruptcy Law and Private Equity Financing: Empirical Evidence.
Los Angeles, CA.
185.Hasan, I., and Wang, H., Lally-Darden-Humbold Entrepreneurship Retreat, October 2006.
The U.S. Bankruptcy Law and Private Equity Financing: Empirical Evidence. Humbold
University, Berlin, Germany.
186.Ginsberg, A., Hasan, I., and Tucci, C., Lally-Darden-Humbold Entrepreneurship Retreat,
October 2006. The Long-term t Effects of Corporate Venture Capital in Firm Performance.
Humbold University, Berlin, Germany.
187.Francis, B., Hasan, I., and Wang, H., Conference organized by Review of Finance,
September, 2006. Bank Consolidation and New Business Formation. Ancona, Italy.
188.Francis, B., Hasan, I., and Waisman, M., Financial Management Association International
Meetings, October 2006, The Impact of Location on the Firm’s Cost of Debt Capital. Utah.
62
189.Hasan, I., and Wang, H., Financial Management Association International Meetings,
October 2006. The Role of Venture Capital on Innovation, New Business Formation, and
Economic Growth. Utah.
190.Hasan, I., and Wang, H., Financial Management Association International Meetings,
October 2006. The U.S. Bankruptcy Law and Private Equity Financing: Empirical Evidence.
Utah.
191.Choi, S., Francis, B., and Hasan, I., Financial Management Association International
Meetings, October 2006. The Effect of Cross-Border Bank M&As on Bank Risk: Evidence
from Yield Spreads. Utah.
192.Berger, A., Bouwman, C., and Hasan, I., Financial Management Association International
Meetings, October 2006. Liquidity Creation and Economic Growth around the World. Utah.
(Recognized as the top 10% of the submitted papers).
193.Choi, S., Francis, B., and Hasan, I., Financial Management Association International
Meetings, October 2006. Analysts, Insiders, and Institutional Investors and Firm-Specific
Return Variation: Evidence from IPO Companies. Utah.
194.Choi, S., Hasan, I., and Kotroz, J., Financial Management Association International
Meetings, October 2006. Risk-Return of Banks: Global Evidence. Utah.
195.Castelli, A., Dwyer, G.P., and Hasan, I., Southern Finance Association Meetings,
November, 2006. Bank Relationships and Small Firms’ Financial Performance. Florida.
196.Hasan, I., State Department‘s and Department of Commerce’s Conference on
Entrepreneurship in North Africa, December 2005. Foreign Direct Investment and
Entrepreneurship in the Middle East: What is in the Future? Tunis, Tunisia,
197.Becchetti, L, Hasan, I., and Mavrotas, G., United Nations Conference on Financial Sector
Development for Growth and Poverty Reduction, July 2005. Education, financial
institutions, inflation and growth, WIDER, July 2005.
198.Berger, A., Hasan, I., and Zhou, M. Financial Management Association (FMA) European
Conference, June 2005. Bank Efficiency, Ownership and Foreign Entry in a Transitional
Economy: The Chinese Experience. Siena, Italy,
199.Berger, A., Hasan, I., and Zhou, M., Financial Management Association (FMA) Conference,
October 2005. Ownership, Financial Liberalization, and Efficiency of Chinese Banks.
Federal Reserve Bank of New York.
63
200.Choi, S., Francis, B., Hasan, I., Morck, R., and Yeung, B., Financial Management
Association (FMA) Annual Meeting, 2005. Analysts, Insiders, and Institutional Investors
and Firm-Specific Return Variation: Evidence from IPO Companies. Chicago, Illinois.
201. Choi, S. and Hasan, I., Financial Management Association (FMA) Annual Meeting, 2005.
Bank Privatizations and Performance Deviation from Rival Banks. Chicago, Illinois.
202. Francis, B., Hasan, I., and Hunter, D., Western Finance Association Meetings, 2005. The Role
of Currency Risk in Industry Cost of Capital. (Goldman Sachs Best Paper Award).
203.Francis, B., Hasan, I., Kose, J., and Waisman, M., Financial Management Association
International, 2005. Does Delaware Incorporation Affect Bondholder Wealth? Chicago,
2005.
204.Francis, B., Hasan, I., and Sun, X., Financial Management Association Meetings, 2005. The
Certification Role of US Advisors in US Cross-Border M&As. Chicago, IL.
205.Francis, B., Hasan, I., Sun, X., Financial Management Association Meetings, 2005. Why Do
Firms Switch Financial Advisors in M&As. Chicago, IL.
206.Francis, B., Hasan, I., and Sun, X., Financial Management Association Meetings, 2005.
Ownership Structure and IPO Underpricing: China Experience. Chicago, IL.
207.Francis, B., Hasan, I., and Sun, X., INFINITI conference, 2005. Signaling Hypothesis
Revisit: Evidence from Foreign IPOs. Dublin, Germany.
208.Francis, B., Hasan, I., and Sun, X., Financial Management Associatio Asian Meetings,
2005. The Role of Financial Advisors in US Cross-Border
M&As. Kuala Lumpur.
209.Francis, B., Hasan, I., and Sun, X., Financial Management Association Asian Meetings,
2005. Does Investment Bank Relationship Matter? Evidence in M&As. Kuala Lumpur.
210.Francis, B., Hasan, I., Sun, X., Financial Management Association Asian Meetings, 2005.
IPO Underpricing: China Experience. Kuala Lumpur.
211.Francis, B., Hasan, I., and Waisman, M., Multinational Financial Society Annual
Conference, 2005. Foreign IPOs: Learning From the Success of Israeli Companies. Athens.
212.Francis, B., Hasan, I., Zhou, M., Academy of Management Meetings, 2005. Insider
Ownership, Analyst Coverage, and Underpricing of Technology IPOs. Hawaii, 2005.
213.Ginsburg, A., Hasan, I., and Tucci, C., Academy of Management Meetings, 2005. Lon Run
Effect of Corporate Venturing. Hawaii.
64
214. Becchetti, L. and Hasan, I., Tor Vergata Conference, 2005. Social Choice Investments and
Market Reaction. Rome, Italy.
215.Hasan, I., United Nations Conference Proceedings, July 2005. Exchange Rate Volatility,
Institutional Quality and Growth, WIDER. Financial Sector Development for Growth and
Poverty Reduction.
216.Hasan, I., Sugheir, J., and Tucci, C., Global Conference on Innovation and
Entrepreneurship, 2005. Corporate Governance and Innovation: Empirical Links between
Shareholder Rights, Research and Development Expenditures, and Patent Productivity.
Lausanne, Switzerland.
217.Hasan, I., and Wang, H., Eastern Finance Association Meetings, 2005. Pricing of
international and local entrepreneurial firms: an issuing cost consideration. Virginia.
218.Francis, B., Hasan, I., Kose, J., and Waisman, M., Southern Finance Association Meetings,
2005. Does Delaware Incorporation Affect
Bondholder Wealth? Florida.
219.Francis, B., Hasan, I., and Sun, X., Southern Finance Association Meetings, 2005. The
Certification Role of US Advisors in US Cross-Border M&As. Florida.
220.Francis, B., Hasan, I., and Sun, X., Southern Finance Association Meetings, 2005. Why Do
Firms Switch Financial Advisors in M&As. Florida.
221.Francis, B., Hasan, I., and Sun, X., Southern Finance Association Meetings, 2005.
Ownership Structure and IPO Underpricing: China Experience. Florida.
222.Francis, B., Hasan, I., and Zhou, M., Southern Finance Association Meetings, 2005.
Earning Management and Under-pricing of Technology IPOs. Florida.
223.Hasan, I., Siddique, A. and Simaan, Y., Global Finance Association Conference, 2005.
Education, financial institutions, inflation and growth. Ireland.
224.Hasan, I., Grant, U.S. Commerce Department, December 2005. Financing Strategies for
Growth in Middle East and North African Countries. Tunisia.
225.Hasan, I., Wachtel, P., and Zhou, M., Tor Vergata Conference, December 2005. Institutional
Development and Economic Growth: The Experience of Chinese Provinces. Rome, Italy.
226.Hasan, I., and Wang, H., Academy of Entrepreneurial Studies, April 2006. Venture Capital
and New Business Formation. Los Angeles, CA.
65
227.Hasan, I., and Zhou, M. 2004. Going Public: Academy of Management, August 2004. Do
Technology Companies Follow Different Strategy? Presented at the Annual Meetings of the
New Orleans.
228.Hasan, I., and Zhou, M., Annual Meetings of the Eastern Finance Association (EFA),
Development & Efficiency of the Banking
Industry in a Transitional Economy: the
Chinese Experience.
229.Bagella, M., L. Becchetti, and Hasan, I., Economic Research Forum, 2004. The Effects of
(within and with EU) Regional Integration: Impact on Real Effective Exchange Rate
Volatility, Institutional Quality and Growth for MENA Countries
230.Becchetti, L., Hasan, I., and Mavaratos, G., WIDER, United Nations Conference on
Financial Sector Development for Growth and Poverty Reduction, July 2005. Education,
financial institutions, inflation and growth.
231.Bagella, M., Becchetti, L., and Hasan, I., WIDER, United Nations Conference on Financial
Sector Development for Growth and Poverty Reduction, July 2005. Exchange Rate
Volatility, Institutional Quality and Growth.
232.Hasan, I., Sugheir, J., and Tucci, C., Corporate Governance and Innovation: Empirical
Links between Shareholder Rights, Research and Development Expenditures, and Patent
Productivity.
233. Francis, B., and Hasan, I., Tor Vergata Conference, 2004. Firm’s Contract Choice and
Monopsony Power of the Investment Bankers.
234. Ginsberg, A., Hasan, I., and Tucci, C., Strategic Management Society Meetings, Puerto
Rico, November, 2004. Role of Banks and Venture Capitalist in New Firm Performance.
235. Hasan, I., and Nambisan, S., Strategic Management Society Meetings, Puerto Rico,
November, 2004. Heterogeneity of Network in Global Alliances.
236. Hasan, I., Venice, Italy, March, 2004. Does Derivative Increase or Decrease Risk?: Evidence
from the Banking Industry.
237. Hasan, I., Academy of Management Conference, June 2004. Small Banks and SME Growth.
238. Hasan, I., Financial Management Association, October, 2004. Noninterest Income and Bank
Risk: International Evidence.
239. Hasan, I., and Nambisan, Babson Conference, 2004. Heterogeneity of IPO Network and
Underpricing.
66
240. Hasan, I., Financial Management Association, October, 2004. Focus versus Diversification:
Evidence for Individual Loan Portfolio Data.
241. Hasan, I., Financial Management Association, October, 2004. The Role of Advisor in
International M&A: Experience of International Companies.
242. Francis, B., Hasan, I., and Hunter, D., Western Finance Association, 2003. Can Risk Explain
the Diversification Discount? Some New Evidence Using Fama-French Three Factor Model.
243. Hasan, I., Trinity College, Dublin Workshop, Dublin, Ireland, March 2003. Does Network of
Stock Exchanges Matter? Evidence from the European Exchanges.
244. Francis, B., Hasan, I., and Hunter, D., Financial Management Association Europe Meetings.
Can Risk Explain the Diversification Discount? Some New Evidence Using Fama-French
Three Factor Model.
245. Goel, R., Hasan, I., and Ram, R., Midwest Economics Association, April 2004. Effect of
General Uncertainty on Venture-Capital Investments: A Cross-Country Study.
246. Bagella, M., Becchetti, L., and Hasan, I., Tor Vergata Conference, Rome, Italy December
2003. Export Share and Growth: Global Evidence.
247. Bagella, M., Becchetti, L., and Hasan, I., Villa Mondragone Conference, Rome, Italy, June
2004. The Anticipated Effects of EU Enlargement: Exchange Rate Volatility, Institutions and
Conditional Convergence.
248. Becchetti, L., and Hasan, I., Economic Research Forum, December 2004. The Effects of
Regional Integration: Impact on Real Effective Exchange Rate Volatility,
Institutional
Quality and Growth for MENA countries.
249. Hasan, I., Association of Private Enterprise, Bahamas, March 2004. Bank Privatization and
Convergence of Performance: Global Evidence.
250. Hasan, I., and Williams, P., International Business Research Conference, Hawaii, June 2004.
Why Marketing Cost Are different Across Firms? Does it affect Firm Performance.
251. Anandarajan, A., and Hasan, I., Economic Research Forum, December 2003. Value Relevance
of Firms in the MENA Region.
252. Hasan, I., and Sun, X., Trinity College, Dublin Workshop, Dublin, Ireland March 2004. What
Determines the Choice of Financial Advisors?
253. Hasan, I., Han, S., and Ravichandran, R., Supply Chain Management Conference, Best paper
award, October 2004. Role of IT and Firm Performance.
67
254. Berger, A., Hasan, I., and Klapper, L., Federal Reserve Bank of Chicago and Journal of
Financial Services and Research Conference, March 2003. Community Banking and Growth:
Global Evidence,
255. Hasan, I., and Wall, L., Eastern Finance Association and Financial Review Conference. Loan
Loss Provision, Loan Losses, Global Evidence.
256. Acharya, V., Hasan, I., and Saunders, T., European Finance Association Meetings, Berlin,
Germany, August 2002. Does Focused Business Pay-off? Diversification Discount in Banking:
Evidence from individual Loan Data.
257. Acharya, V., Hasan, I., and Saunders, T., American Finance Association Meetings, D.C.
January 2003. Diversification Discount in Banking: Evidence from individual Loan Data. Also
Presented at London Business School, Bank of International Settlement, and Northwestern
University.
258. Acharya, V., Hasan, I., Saunders, T., Federal Reserve Bank of Chicago, Chicago, May 2002.
Diversification Discount in Banking: Evidence from individual Loan Data.
259. Bagella, M., Bechhetti, L., and Hasan, I., Tor Vergata Conference on Banking and Finance,
Italy 2002. Integration, Export and Growth.
260. Bechhetti, L., Hasan, I., and Santos, M., Tor Vergata Conference on Banking and Finance,
Italy, 2002.Analyst’s Forecast Bias: Rational Judgment or Herd Behavior?
261. Anandarajan, A., Hasan, I., and Weill, L., the Third SINICA Conference on Productivity,
Taipei, 2002. Value Relevance of Profit Efficiency.
262. Hasan, I., Malkamaki, M., and Schemiedel, 3rd SINICA Conference on Productivity, Taipei,
Taiwan July, 2000. Technology, Productivity and Stock Exchanges.
263. Evans, P., Hasan, I., and Vivas, A., Villa Mondragone Conference, July 2002, Rome, Italy.
Banking Deregulation and Growth: European Union Countries.
264. Hasan, I., and Schemiedel, H., Financial Management Association Europe Meetings, June,
2002, Copenhagen, Denmark. Network Effect in Stock Exchanges: European Evidence.
265. Hasan, I., Malkamaki, M., and Schemiedel, H., University of Toronto and Journal of Banking
Conference, August 2002, Toronto, Canada. Technology, Productivity and Stock Exchanges.
266. Dwyer Jr., G.P., Hasan, I., and Schmeidel, H., Villa Mondregone Conference XIII, Italy, May
2001.Determinants of Foreign Listings: Global Experience.
68
267. Francis, B., Hasan, I., and Whidbee, D., Workshop on Credit Risk, Cagliari, Italy, May 2001.
Derivative Use Increase or Decrease Risk? Evidence from the Banking Industry.
268. Francis, B., and Hasan, I., MHU International Workshop on Banking and Finance, Alicante,
Spain, May 2000. IPOs, Underpricing and Put Options.
269. Hasan, I., Lozano-Vivas, A., and Pastor, J., MHU International Workshop on Banking and
Finance, Alicante, Spain, May 2000. Bank Competition Among European Countries
270. Hasan, I., Lozano-Vivas, A., and Pastor, J., Wharton Financial Research Center and Frankfurt
Institute of Finance, Frankfurt, Germany, April 2000.Cross-Border Competition.
271. Hasan, I., University of Romania, Summer, 1999.Future of European Corporate Strategy: New
Evidence.
272. Hasan, I., and Malkamaki, M, University of Rome – Tor Vergata Conference IX, November
2000. Efficiency of Stock Exchanges: International Evidence.
273. Francis, B., Hasan, I., and Pantzalis, C., University of Rome – Tor Vergata Conference VIII,
November, 1999. Foreign Currency Exposure and U.S. MNCs During the Asian Financial
Crisis.
274. Hasan, I., and Malkamaki, M., Bank of Finland, Helsinki, Finland August 2000. Scale and
Scope Among Exchanges.
275. Hasan, I., and Malkamaki, M., NSW Conference on Banking and Finance, Sydney, Australia
December 2000. Is Expansion Cost Effective for Stock Exchanges?: Global Perspectives.
276. Hasan, I., and Malkamaki, M., University of Rome - Tor Vergata IX, Rome, November 2000.
Productivity of Stock Exchanges: International Evidence.
277. Hasan, I., Lozano, A., Shen, C., and Shen, C., Productivity and Efficiency Conference, Taipei,
Taiwan, July, 1999. Deregulation and Efficiency of Taiwanese Banks.
278. Hasan, I., and Marton, K., Bank of Finland Institute for Transition Economies, Helsinki,
Finland, July 2000. Efficiency of Transitional Banks: Hungarian Experience.
279. Hasan, I., and Malkamaki, Bank of Finland, Helsinki, Finland, August 2000. Technology Cost
and Efficiency of Stock Exchanges.
280. Hasan, I., and Weill, L., University of Rome - Tor Vergata Conference VII, Rome, Italy,
November 1998 . Structure Conduct Performance of the European Banking Market.
69
281. Hasan, I., Hunter, C., and Lozano, A., INFORM XXXV International Conference, Montreal,
Canada, April 1998. Deregulation and Efficiency: Spanish Experince.
282. Hasan, I., Hunter, C., and Lozano, A., European Financial Management and FMA-Europe
Conference, Lisbon, Portugal, June 1998. Structural Change and Firm Efficiency of Spanish
Depository Industry.
283. Hasan, I., University of Bergamo, Italy 1998. Geographical Deregulations, Consolidation and
Bank Efficiency of Local Banks.
284. Hasan, I., and Lozano, A., Euro XV/ INFORM XXXIV International Conference, Barcelona,
Spain, July 1997.Agency Cost, Organizational Form, and Efficiency in the Spanish Banking
Industry.
285. Hasan, I., and Lozano, Productivity Workshop, Copenhagen, Denmark, October 1997.
Expense Preference or Firm Strategy: A Case of Spanish Depository Industry.
286. Hasan, I., and Vivas, A., International Trade and Economic Association, Porto, Portugal, May
1997.Deregulation and Efficiency of Spanish Banks.
287. Francis, B., and Hasan, I., European Financial Management Association Meetings, Istanbul,
Turkey 1997.Asymmetric Predictability of Stock Returns and Volatility: The Impact of
Macroeconomic Factors.
288. Chishty, M.R.K., Hasan, I., and Smith, S., England and Wales Certified Accounting
Association and Journal of Business Finance and Accounting, Nottingham, England, March,
1996.Under Pricing of Initial Public Offerings.
289. Hasan, I., Tilburg University, Netherlands. Efficiency Issues in Banking: U.S. and European
Perspective,
290. Hasan, I., Gothenburg University, Sweden.Efficiency Issues in Banking: U.S. and European
Perspective,
291. Hasan, I., and Simaan, European Econometric Society Meetings Istanbul, Turkey
(competitive), August 1996.Rational Explanation of Home Equity Bias.
292. DeYoung, R., and Hasan, I., South Asian and Indian Econometric Society, New Delhi, India,
December 1996.Deregulation, Competition, and Efficiency of Banks,
293. Hasan, I., Swedish School of Business, Helsinki, Finland. Single European Banking Market:
Lessons from Recent U.S. Consolidation and Interstate Activities.
70
294. DeYoung, R., Hasan, I., and Kirchhoff, B., World Congress of Small Business, Tel Aviv,
Israel, November 1995.Bank Consolidation, Interstate Banking, and Efficiency of Small Banks.
295. DeYoung, R., Hasan, I., and Kirchhoff, B., School of Business, University of Cyprus, Cyprus,
November 1995.Bank Consolidation, Interstate Banking & Efficiency of Small Banks.
296. Hasan, I., and Hunter, C., Pacific Basin Finance, Business, and Economics Conference,
Taipei, Taiwan, 1995. Efficiency of Japanese Multinational Banks in the U.S..
297. Hasan, I., and Hunter, C.W., National University of Singapore, Singapore, August 1995.
Efficiency of Japanese Multinational Banks.
298. Chishty, M.R.K., Hasan, I., and Smith, D., Accounting and Finance Department, University of
Malaga, Malaga, Spain, June 1995. Under Pricing of Initial Public Offerings: Reputation versus
Efficiency.
299. Francis, B., and Hasan, I., Economics Department, University of Malaga, Malaga, Spain, June
1995. Stochastic Trends, Economic Fluctuations and the Relative Frequency of Equity and
Debt Offerings.
300. Chang, E., Hasan, I., and Hunter, C., Atlantic Economic Association Meetings, Montreal,
Canada, September 1994.Efficiency of Multinational Banks in U.S.
301. Hasan, I., and Pearce, J., I.E.S.A Business School Invited Seminar, Caracas, Venezuela,
March 1993.Deregulation and Performance of Banks and Thrifts, (with James Pearce),
302. Hasan, I., and Khan, Z., Eastern Economic Association Meetings, New York, March 1998.
Efficiency of Micro Credit Institutions: An Analysis of Grameen Banks.
303. DeYoung, R., and Hasan, I., (Four Presentations), Allied Social Science Meetings 1996, San
Francisco, January 1996, Eastern Finance Association Meetings, Charlotte, NC, April 1996,
Office of the Comptroller of Currency, July 1996, and Southern Economics Association
Meetings, November 1996. Efficiency of De Novo U.S. Banks.
304. Hasan, I., and Marton, K., Atlantic Economic Association Meetings, Boston, Massachusetts,
1998. Efficiency of Hungarian Banks.
305. Hasan, I., and Lozano, A., Atlantic Economic Association Meetings, Philadelphia,
Pennsylvania, 1997. Deregulation and Efficiency of Spanish Banks.
306. DeYoung, R., Hasan, I., and Kirchhoff, B., Office of the Comptroller of Currency, July 1996.
Impact of Interstate Banking on Local Banks.
71
307. Hunter, W.C., and Hasan, I., (Two Presentations) Western Economics Association Meetings,
San Diego, CA, July 1995 and Atlantic Economics Association Meetings, Virginia, October
1995.Are Minority Banks Different? An Empirical Analysis.
308. Dwyer Jr., G.P., and Hasan, I., (Four presentations) Federal Reserve Bank of Chicago, May
1996, Federal Reserve Bank of Atlanta Workshop, Atlanta, Georgia, November, 1993, National
Meeting of the Cleometric Society 1994, Indianapolis, Indiana, July 1994, and a very early
version at the Financial Management Association Meetings, Chicago, Illinois, October 1991.
Restrictions of Payments and Bank Failures.
309. Carhill, M., and Hasan, I., Eastern Economic Association Meeting, Richmond, Virginia,
March 1993. Mutual to Stock Conversion, Information-Cost, and Performance of Firms.
310. Evans, P., and Hasan, I., Western Economic Association Meetings, Los Angeles, California,
July 1992. Finite Horizon and Consumption Capital Asset Pricing Model: Evidence.
311. Eftekhari, H., and Hasan, I., Office of the Comptroller of the Currency, October 1992.Market
Structure, Agency Cost, and Thrift Strategy.
312. Dwyer Jr., G.P., and Hasan, I., (Four Presentations) Federal Reserve Bank of Dallas, Texas,
April 1988, Western Economic Association Meetings, Vancouver, Canada, July 1987, Federal
Reserve Bank of Chicago, Illinois, 1987 and Cleometric Society Meeting, Cincinnati, Ohio,
May 1988. Contagion Effects and Bank Crisis in the Free Banking Period.
313. Bordman, S., Elliot, N., Hasan, I., and Milano, G., International Conference on Engineering
Educators, Chicago, Illinois, August 1997. Curriculum Inversion and Course Integration.
314. Bordman, S., Elliot, N., Hasan, I., and Milano, G., NSF Engineering Education Innovator's
Conference, April 1997, Washington D.C., Changing the Curriculum: From Freshman to
Senior Year.
315. Francis, B., Hasan, I., and Hunter, D., (Two Presentations) Financial Management Association
Meetings, Toronto, Canada, 2001 and Southern Finance Association, Destin, Florida, 2001.
Return and Volatility in the Integrated Equity and Currency Markets.
316. Francis, B., Hasan, I., and Hunter, D., (Two Presentations) Financial Management Association
Meetings, Toronto, Canada, 2001 and Southern Finance Association, Destin, Florida, 2001.
Can Risk Explain the Diversification Discount? Some New Evidence Using Fama-French
Three Factor Model.
317. Hasan, I., Lozano-Vivas, A., and Pastor, J., Productivity and Efficiency Workshop, New York,
New York, June 2000. Bank Competition in Europe: What to Expect?
72
318. Francis, B., Hasan, I., and Pantzalis, C., Financial Management Association Meetings, Seattle,
Washington, 2000. Foreign Currency Exposure During Asian Crisis: Experience of U.S.
MNCs.
319. Anandarajan, A., Hasan, I., and Lozano-Vivas, A., Financial Management Association
Meetings, Seattle, Washington, 2000. Optimum Loan Loss provision: A Stochastic Frontier
Approach.
320. Francis, B., and Hasan, I., European Finance Association Meetings. Self-Selectivity of the IPO
Contract Preferences and the Cost of Initial Public Offerings.
321. Francis, B., and Hasan, I., European Financial Management, Paris, France, 1999. Contract
Choice and Under-Pricing of Initial Public Offerings.
322. Francis, B., Hasan, I., Li, F., (Two presentations) Financial Management Association,
Orlando, Florida, 1999 and Southern Finance Association, Key West, Florida, 1999. Initial
Public Offerings: A Comparative Analysis of Local and Foreign Corporations in U.S. Equity
Market.
323. Marton, K., and Hasan, I., Financial Management Association, Orlando, Florida, 1999.
Efficiency of Transitional Banks: Hungarian Experience.
324. Francis, B., Hasan, I., (Three presentations) European Finance Association Meetings,
Helsinki, Finland, Financial Management Association, Orlando, Florida, and Southern Finance
Association 1999, Key West, Florida, 1999. A Comparative Analysis of Venture Capital
Backed and Non Venture Capital-backed IPOs.
325. Francis, B., Hasan, I., and Lin, J., Financial Management Association, Orlando, Florida, 1999.
M&M and Capital Structure Theory: Asian Experience.
326. Francis, B., Hasan, I., and Wang, C., (Two presentations) Financial Management Association,
Orlando, Florida, 1999 and Southern Finance Association, Key West, Florida, 1999. Leverage,
Investment, and Growth: Small Firm Perspectives.
327. DeYoung, B., Hasan, I., and Hunter, C., (Four presentations) Financial Management
Association, Orlando, Florida, 1999 Western Economic Association, San Diego, California,
1999 and Southern Finance Association, Key West, Florida, 1999 Eastern Finance Association
Meetings South Carolina, 2000. Entry and Early Exit of De Novo Commercial Banks.
328. Hasan, I., Siddique, A., and Simaan, Y., Financial Management Association, Orlando,
Florida, 1999. Estimation Error and Market Return: Empirical Perspectives.
329. Hasan, I., Hunter, W.C., and Lozano, A., AES, ASSA Meetings, New York, New York, 1999.
Deregulatory Changes and Efficiency of Spanish Banks and Savings and Commercial Banks.
73
330. Flannery, M., Hasan, I., and Sarkar, S., Southwest Finance Association Meetings, Houston,
Texas, 1999. Banks' Lending Capacity and Interest Rate Sensitivity.
331. Chow, R., Hasan, I., and Lozano, A., Efficiency Workshop, Taipei, Taiwan, July 1999.
Organizational Form and Bank Efficiency: Evidence for Taiwan, (with Ray Chou and Ana
Lozano).
332. Francis, B., and Hasan, I., Southwest Finance Association Meetings, Houston, Texas,
1999.An Empirical Investigation of the firm’s Contract Choice and the Level of Underpricing
of Initial Public Offerings.
333. Hasan, I., and Mathis, R., Southwest Finance Association Meetings, Houston, Texas, 1999.
Pricing of Futures.
334. Francis, B., and Hasan, I., An Empirical Investigation of the Firm’s Contract Choice and the
Level of Under-Pricing of Initial Public Offerings, (with Bill Francis), Eastern Finance
Association Meetings, Florida, 1999.
335. Francis, B., Hasan, I., and Lin, J., Eastern Finance Association Meetings, Florida, 1999.
M&M and Capital Structure Theory: Asian Experience.
336. Francis, B., and Hasan, I., ABN Amro Bank IPO Conference, Amsterdam, Netherlands, July
2000. Venture versus Nonventure Backed IPOs: New Evidence.
337. Francis, B., and Hasan, I., Hernandez Miguel Workshop on Banking and Finance, Alicante,
Spain, May 2000. Venture versus Nonventure Backed IPOs: Efficiency versus Price Support.
338. Hasan, I., and Lozano, A., Productivity Workshop, Athens, Georgia, October 1998. Foreign
Bank Strategy, Production Technology, and Firm Efficiency.
339. Hasan, I., and Marton, K., International Trade and Finance Association Meetings, Atlantic
City, New Jersey, 1998. Performance of the Hungarian Banks.
340. Hasan, I., Hasan, T., and Mathis, R., International Trade and Finance Association, Atlantic
City, New Jersey, 1998. Efficiency Issues of the Multinational Banks in U.S..
341. Furguson, R., Hasan, I., and Leistikow, D., Southern Finance Association Meetings,
Baltomore, Maryland, November 1997. Futures Hedge Ratio Determination Methods: The
Error-Correction Model versus The Regression Approach.
342. Francis, B., Hasan, I., and Leachman, L., Southern Finance Association Meetings, Baltomore,
Maryland, November 1997. Superexogeneity and the Dynamic Linkages among International
Equity Markets.
74
343. DeYoung, R., and Hasan, I., Financial Management Association Meetings, Hawaii, 1997
[Best Paper Award]. Profit Efficiency of De Novo Banks.
344. Hasan, I., Mathis, R., and Sarkar, S., Financial Management Association Meetings, Hawaii,
1997. Pricing of Contingency Claim: Asian Experience.
345. Hasan, I., Knopf, J., and Teall, J., Financial Management Association Meetings, Hawaii,
1997. Corporate Control, Executive Compensation and Firm Efficiency.
346. Hasan, I., and Hunter, W.C., Allied Social Science Meetings, New Orleans, Louisiana,
January 1997. Management Efficiency of Minority and Women - Owned Banking Institutions.
347. Bordman, S., Hasan, I., and Tedesco, B., Production to Management Engineering, (with
Brabara Tedesco, and Sanford Bordman), International Conference on Engineering Educators,
Chicago, August, 1997.
348. Bordman, S., Hasan, I., and Tedesco, B., American Society for Engineering Educators,
Milwaukee, Wisconsin, August 1997. An Assessment of Integrated Management and
Economics Courses for Engineers.
349. DeYoung, R., and Hasan, I., Allied Social Science Meetings, New Orleans, Louisiana, January
1997. The Performance of Denovo Commercial Banks.
350. Hasan, I., and Simaan, Y., Financial Management Association Meetings, New Orleans,
Louisiana, October 1996. Rational Explanation of Home Equity Bias.
351. Francis, B., and Hasan, I., Efficiency Financial Management Association Meetings, New
Orleans, Louisiana, October 1996. Investigation in Corporate Share Repurchase.
352. DeYoung, R., Hasan, I., and Kirchhoff, B., Southern Finance Association Meetings, Keywest,
Florida, November, 1996. Impact of Interstate Banking on Local Banks.
353. Francis, B., Hasan, I., and Lothian, J., Southern Finance Association Meetings, Keywest,
Florida, 1996. Exchange Rate Models and Monetary Approach: A Cross-Country Evidence.
354. Hasan, I., Knopf, J., and Teall, J., Southern Finance Association Meetings, Keywest, Florida,
November, 1996. Efficiency, Corporate Control and Compensation.
355. Bordman, S., and Hasan, I., American Society for Engineering Education Annual Meetings,
Washington D.C. June, 1996. . Economics and Management Education for Engineers in the
Next Decades: A Pilot Study.
75
356. Alam, M.A., and Hasan, I., Asian Business and Economics Conference, New York, New
York, November 1995. Exports and Economic Growth: Experience of Taiwan and South
Korea.
357. Francis, B., and Hasan, I., Financial Management Association Meetings, New York, New
York, October 1995. Inflation, Economic Fluctuations, and Stock Returns.
358. Evans, P., Francis, B., and Hasan, I., Financial Management Association Meetings, New York,
New York, October 1995. Monetary Collapse During Great Depression: Did the Money Stock
Fall or Was It Pushed?
359. DeYoung, R., Hasan, I., and Kirchhoff, B., Academy of Financial Services Meetings, New
York, New York, October 1995. Bank Consolidation, Interstate Banking, and Efficiency of
Small Banks.
360. Francis, B., and Hasan, I., Southern Finance Association Meetings, Sarasota, Florida,
November, 1995. Asymmetric Predictability of Stock Returns and Volatility: The Impact of
Macroeconomic Factors.
361. Francis, B., and Hasan, I., Southern Finance Association Meetings, Sarasota, Florida,
November, 1995. The Impact of Exchange Rate Movements on the International Transmission
of Stock Returns and Volatility: A Multivariate GARCH Approach.
362. Hasan, I., Hasan, T., and Shao, L., Global Business Association Meetings, Las Vegas, Nevada,
November 1994. Management Strategy and Performance of Multinational Banks.
363. Evans, P., and Hasan, I., Financial Management Association Meetings, St.Louis, Missouri,
October 1994. Finite Horizon and Consumption Capital Asset Pricing Model: Theory.
364. Francis, B., and Hasan, I., Financial Management Association Meetings, St. Louis, Missouri,
October 1994. Stochastic Trends, Economic Fluctuations and the Relative Frequency of Equity
and Debt Offerings.
365. Francis, B., and Hasan, I., Southern Finance Association Meetings, Charleston, South
Carolina, November 1994. Stock Returns and Inflation Revisited.
366. Francis, B., and Hasan, I., (Two Presentations) Southern Finance Association Meetings
Charleston, South Carolina, 1994 and International Productivity Conference, Athens, Georgia,
1994. Corporate Share Repurchase: Is it Motivated by Stock Underpricing?
367. Chang, E., Hasan, I., and Hunter, C., New York, New York, November 1994.Japanese Bank
Efficiency in the U.S., Asian Business and Economics Conference.
368. Hasan, I., and Shao, L., Asian Business Conference, New York, New York, November 1994.
Business Strategies of U.S. Multinational Corporations.
76
369. Chang, E., Hasan, I., and Hunter, C., Scranton, Pennsylvania, May, 1994 (Best Paper Award).
Academy of International Business-N.E..
370. Hasan, I., and Vopat, E., Academy of International Business-N.E., Scranton, Pennsylvania,
May, 1994. Initial Public Offerings: A Comparative Analysis of Local and Foreign
Corporations in U.S. Equity Market.
371. Chishty, M.R.K., Hasan, I., and Smith, S.D., Financial Management Association Meetings,
Chicago, Illinois, October, 1992. A Note on Underwriter Competition and Initial Public
Offerings.
372. Chang, E., Hasan, I., and Hunter, C., (Two Presentations) International Productivity
Conference, Athens, Georgia, and Financial Management Association Meetings, Toronto,
Canada, October, 1993. Efficiency of Multinational Banks: An Empirical Investigation.
373. Hasan, I., Shao, L., and Shao, A., Financial Management Association Meetings, Toronto,
Canada, October 1993. Determinants of Sophisticated Capital Budgeting Strategy in Multi
National Enterprise Subsidiaries.
374. Hasan, I., Financial Management Association Meetings, Toronto, Canada, October 1993.
Geographical Deregulation, Market Structure, and Mortgage Rates.
375. Hasan, I., and Hunter, C., Southern Finance Association Meetings, New Orleans, Louisiana,
November 1993. Income-Smoothing Hypothesis: An Analysis in the Thrift Industry.
376. Hasan, I., Shao, A., and Shao, A., Academy of International Business Annual Meetings,
Honolulu, Hawaii, November 1993. Capital Structure in Multinational Subsidiaries: An
Empirical Analysis.
377. Hasan, I., and Hasan, T., Midwest Business Administration Association, Chicago, Illinois,
March 1993. IPO Undepricing: The Role if Intermediaries.
378. Hasan, I., and Sethi, A., Academy of International Business - N.E. Regional Meetings,
Scranton, Pennsylvania, May 1992 (Best Paper Award). Asset Management, Financing
Strategy, and Performance of Banks: A Comparative Analysis.
379. Carhill, M., and Hasan, I., Southwestern Finance Association Meeting, New Orleans,
Louisiana, March 1992. 1984-1989 Mutual to Stock Conversion, Information-Cost, and
Performance of Firms.
380. Chishty, M.R.K., and Hasan, I., Midwest Business Administration Association Meeting,
March, Chicago, Illinois, 1992. Determinants of Compensation of Investment Banks.
77
381. Hasan, I., and Rich, D.P., Midwest Finance Association Meeting, March, Chicago, 1992.
Market Competition, Service Quality, and Employment in Depository Institutions.
382. Hasan, I., and Pearce, J., with Southern Finance Association Meeting, Sawgrass, Florida, 1992.
Effects of Bank Consolidation on Banks and Thrifts.
383. Hasan, I., and Rich, D.P., Southern Economic Association Meeting, Nashville, Tennessee,
November 1991. Financial Services and Demand for Labor: An Econometric Analysis.
384. Eftekhari, H., and Hasan, I., Financial Management Association Meetings, Chicago, Illinois,
1991. Cost Efficiency and Market Structure.
385. Dwyer Jr, G.P., and Hasan, I., Financial Management Association Meetings, Chicago, Illinois,
1991. Restriction of Payments and Bank Failures.
386. Hasan, I., and Smith, D., (Two presentations) Financial Management Association Meeting,
Chicago, Illinois, October 1991, and Southern Finance Association Meeting, Key West,
Florida, November, 1991. Competition, Fixed Cost, and Performance of Depository
Institutions.
387. Hasan, I., European Financial Association Meetings, Copenhagen, Denmark, June 2002. Does
Network Payoff? Evidence from European Stock Exchanges.
388. Eftekhari, H., and Hasan, I., Midwest Finance Association Meeting, Chicago, Illinois, 1990.
The Cost Structure of Thrift Institutions: A Re-examination.
389. Fritz, R.G., Hasan, I., Southern Finance Association Meeting, Orlando, Florida, 1989. Causes
for Thrift Nonperformance.
390. Fritz, R.G., Hasan, I., Southern Regional Science Association Meeting, Florida, 1990. Florida's
Underperforming Thrift Industry.
391. Hasan, I., and Pearce, J., Western Economic Association Meetings, San Francisco, California,
July 1989. Deregulation and Performance of Banks and Thrifts.
392. Dwyer, J., Hasan, I., Western Economic Association Meetings, Vancouver, Canada, July 1987.
Bank Runs and Free Banking.
Key Conference Organizer or Co-organizer
•
Tor Vergata Annual Conference, Italy, 1998-2012.
•
Rising Star Conference, Troy, New York, 2008, 2010, 2012, 2013.
78
•
Lausanne Seminar Conference, Lausanne, Switzerland.
•
Bank of Finland Conference – 2003, 2005, 2009, and 2010 (CEPR).
•
JFS Conference, Indonesia, 2013.
•
Colloquium of Associazione Luiss-Guido Carli and Cassa Risparmio di Firenze – 2004-2010,
2013. Rome (3), Venice, Florence (2), Lucca, Ravenna, and Foligno, Italy.
•
Central Bank of Brazil Conference – 2010, 2012.
•
Central Bank of Turkey, 2012.
•
RCMFI Workshop, Crete, Greece, 2010, 2011.
•
Federal Reserve Bank of Atlanta, 2006 and 2008.
•
Stern School and Federal Reserve Bank, 2003.
•
Productivity Conference – Alicante, Spain, 2000.
•
FMA Track Chair: International Finance, 2008.
•
FMA Track Chair: Financial Institutions, 2011.
•
Central Bank of Luxembourg, 2012.
•
Deutsche Bundes Bank Conference, 2013.
Teaching
•
Empirical Issues in Financial Research (Ph.D).
•
Corporate Governance (Executive Masters, Masters).
•
Seminar in Corporate Finance (Workshop, Ph.D).
•
Advanced Corporate Finance (Ph.D, Graduate and Executive Level).
•
Recent Topics in Accounting and Finance (Ph.D).
•
Corporate Finance (Graduate, Undergraduate, and Executive Level).
•
Commercial Banking (Ph.D, Graduate & Undergraduate).
•
International Banking (Executive)
•
Financial Environment (Graduate).
•
Money and Banking (Graduate & Undergraduate).
•
Macroeconomics (Graduate).
•
Managerial Economics (Graduate).
79
•
Business Statistics (Undergraduate).
Keynote Speaker
•
Deutsche Bundesbank and University of Dresden, Dresden (2013).
•
Deutsche Bundesbank, Frankfurt (2013).
•
UNS University, Solo, Indonesia, (2013).
•
Charles University, CERGE, Prague (2012).
•
European Banking Authority (2012).
•
IMF Conference, Doha (2012)
•
Academy of State Law (2012), Vietnam Academy of Sciences.
•
INFINITI conference, Trinity College, Dublin, (2012).
•
French Finance Association, Strasbourg, (2012).
•
SINICA, Banking Conference, Taiwan, (2011).
•
Banking and Productivity Conference, Leicester University, UK, (2009).
•
Euro-Asia Society Finance Conference, Istanbul, Turkey, (2011).
•
Financial Engineering and Banking Society, Crete, (2011).
•
Taiwanese Finance Meetings, Southern Taiwan University, Taiwan, (2009).
Honors and Achievements
•
Honorary PhD – “Doctor Honoris Causa” – Romanian American University, Bucharest,
Romania, 2011.
•
Distinguished Scholar Award, Financial Engineering and Banking Society of Europe, Greece,
2011.
•
Senior Scholar Discussant, FINEST, Limoges, France, 2013.
•
President, Euro-Asian Business and Economics Society, 2012-
•
THALIS Grant, Greece and European Commission, 2013-2015.
•
Romanian NSF Grant, 2012-2014.
•
Ewin Kauffman Foundation Research Grant, 2009-2010.
80
•
Grant from the US State Department - Bureau of Intelligence and Research- Office of
Outreach under 22USC4501-4508 (Program of Research and Training for Eastern Europe
and the Former Soviet Union (Title VIII), 2009-2010.
•
Goldman Sachs Best Paper Award, Western Finance Association, 2005.
•
Ewin Kuffman Foundation Research Grant, 2005, 2007.
•
FDIC Research Grant, Washington DC, 2007.
•
Best Paper Award: Northern Finance Association, 2010.
•
Academy of Management Best Paper Proceedings, 2008.
•
Academy of Management Best Paper Proceedings, 2005.
•
Best Paper Award: Financial Management Association, 1997.
•
Best Paper Award: Academy of International Business. 1994.
•
Best Paper Award: Academy of International Business. 1993.
•
One of the Most Liked Professors by Graduating Students [Exit Polls], 1998, NJIT.
•
Teaching Excellence Award: 1996, NJIT.
•
Project Evaluator, Global Development Network, 2009-2012.
•
Guest Editor: Managerial Finance.
•
Guest Editor: Journal of International Money and Finance, 2004, 2005.
•
Represented U.S. in “Leadership Conference” Sponsored by the Ministry of International Trade
and Industry (MITI), Japan.
•
Phi Kappa Beta.
•
Global Development Network.
•
Omega Delta Epsilon.
•
Who’s Who in Finance (several issues).
Key Media Events
•
Vietnamese TV, July, 2012.
•
Chinese TV, January 2011.
•
Jerusalem Post, November, 2010.
•
Business Week Article (with Picture), May 2005.
81
•
CCTV-Channel 9, Beijing China, 30 minutes talk show interview: Entrepreneurship and
Innovation in China.3. Shanghai TV, China, 30 minutes talk show interview: Dollar-RMB and
Current Account Debates.
References
Available Upon Request
82