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Shapiro Alan C.

Обновлено: 09-12-2010
Образование PhD: Economics [Carnegie-Mellon University ]
Место работы Finance and Business Economics Faculty / Marshall School of Business (USC FBE Dept.) / Professor

Профессиональные интересы:
  • International financial management and corporate finance,
  • economics of telecommunications,
  • deregulation in the world economy,
  • value-based management,
  • efficiency of financial markets,
  • strategies of multinational corporations,
  • risk in international banking.


Публикации:
  • "Multinational Financial Management", Prentice-Hall, 6th ed.
  • "Foundations of Multinational Financial Management", Prentice-Hall, 3rd ed.
  • "Modern Corporate Finance", Macmillan.
  • "Tobin's q and the Relation Between Accounting ROI and Economic Return" (with Wayne Landsman) Journal of Accounting, Auditing and Finance.
  • "The Economic Import of Europe 1992" Journal of Applied Corporate Finance, Reprinted in Studies in International Corporate Finance and Governance Systems: A Comparison of the U.S., Japan, & Europe (Editor, Donald H. Chew), Oxford University Press, 1997.
  • "Corporate Stakeholders and Corporate Responsibility," USC Business.
  • "When Hedging Makes Sense in Managing Foreign Exchange Risk," Journal of European Business.
  • "The Mispricing of U.S. Treasury Bonds: A Case Study" (with Bradford Cornell), Review of Financial Studies.
  • "Why the Budget Deficit Does Not Matter," Journal of Applied Corporate Finance.
  • "Cross-Sectional Regularities in the Reaction of Stock Prices to Bond Rating Changes" (with Brad Cornell and Wayne Landsman), Journal of Accounting, Auditing and Finance.
  • "Ensure Future Access to Capital...," Comments on "The Case of the Expensive Expansion," Harvard Business Review.
  • "Why the Trade Deficit Does Not Matter," Journal of Applied Corporate Finance.
  • "Financing Corporate Growth" (with Bradford Cornell), Journal of Applied Corporate Finance, Reprinted in The New Corporate Finance: Where Theory M eets Practice (editor,Donald Chew), McGraw Hill, 1993.
  • "A Market-Based Test of the Effect of Monetary Policy" (with Maurice Levi), Economic Inquiry.
  • "Corporate Stakeholders and Corporate Finance" (with Bradford Cornell), FinancialManagement.
  • "Taxes and Stock Return Seasonality: Evidence from the London Stock Exchange" (with Marc Reinganum), Journal of Business.
  • "Multinational Corporations and National Regulation: An Economic Audit," Managerial Finance.
  • "Guidelines for Long-Term Financing Strategy," Midland Corporate Finance Journal, Reprinted in the Revolution in Corporate Finance (editors, Joel Stern and Donald Chew), Basil Blackwell, 1987.
  • "The Impact on Bank Stock Prices of Regulatory Responses to the International Debt Crisis" (with Brad Cornell and Wayne Landsman), Journal of Banking and Finance, Special supplement.
  • "International Banking and Country Risk Analysis," Midland Corporate Finance Journal, Reprinted in New Developments in International Finance (Editors, Joel Stern and Donald Chew), Basil Blackwell, 1988.
  • "Systematic Risk, Total Risk, and Size as Determinants of Stock Market Returns" (with Josef Lakonishok), Journal of Banking and Finance.
  • "The Reaction of Bank Stock Prices to the International Debt Crisis" (with Bradford Cornell), Journal of Banking and Finance.


Публикации на портале:
Книги
Домашняя страница http://www.marshall.usc.edu/web/FBE.cfm?doc_id=1439
E-mail ashapiro@marshall.usc.edu
Телефон (213) 740-6556
Факс (213) 740-6650

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