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Jegadeesh Narasimhan

Обновлено: 09-12-2010
Образование бакалавр: Mechanical Engineering [Indian Institute of Technology, Madras, India, 1978]
магистр: Business administration [Indian Institute of Management, Ahmedabad, India, 1980]
PhD: Finance [Columbia University, 1987]
Место работы College of Commerce and Business Administration (CBA) / professor
University of California, Los Angeles / professor
Goizueta Business school at Emory University (Atlanta) / professor

Профессиональные интересы:
Research focuses on investments, futures and options, and fixed-income markets.

"Value of analyst recommendations: International evidence,'' 2006 with Woojin Kim, Journal of Financial Markets, forthcoming.

"Revenue Surprises and Stock Returns,'' 2006, with Joshua Livnat, Journal of Accounting and Economics, forthcoming.

"Post-earnings announcement drift: The role of revenue surprises,'' with Joshua Livnat, Financial Analysts Journal, forthcoming.

"Earnings Quality and Stock Returns: Evidence from Accruals," 2006, with Konan Chan, Louis Chan and Josef Lakonishok, Journal of Business, forthcoming.

"World Markets for Raising New capital,'' 2006, with Brian Henderson and Michael Weisbach, Journal of Financial Economics, forthcoming.

"Momentum: A review,'' with Sheridan Titman, 2005, Advances in Behavioral Finance II, Ed. Richard Thaler, Princeton Press, NJ.

"The Timing and Value of Forecast and Recommendation Revisions," with Zoran Ivkovic, 2004, Journal of Financial Economics, 433-463

"Analyzing the Analysts: When do Recommendations Add Value?" with Joonghyuk Kim, Susan Krische and Charles Lee, 2004, Journal of Finance, 1083-1124.

"Cross-Sectional and Time-Series Determinants of Momentum Returns," with Sheridan Titman, 2002, Review of Financial Studies,143-157.

Публикации на портале:
E-mail Narasimhan.Jegadeesh@bus.emory.edu
Адрес Goizueta Business School Emory University 1300 Clifton Road Suite 507 Atlanta, GA 30322 Tel: 404/727-4821
Ключевые слова

См. также:
Ricardo J. Caballero, Mohamad L. Hammour
NBER Working Paper Series. 2002.  w9381.
Eugene Kandel, Michael J. Barclay, Leslie M. Marx
Journal of Financial Intermediation. 1998.  Vol. 7. No. 2. P. 130-150. 
Fisher Black
Journal of Financial Economics. 1974.  Vol. 4. No. 1. P. 337-52 . 
David Yermack
Journal of Financial Economics. 2003.  Vol. 40. No. 2. P. 185-211. 
Franco Modigliani, Merton H. Miller
American Economic Review. 1958.  Vol. 48. No. 3. P. 261-297.