Saurav Roychoudhury

Saurav Roychoudhury

教授

部门

  • 业务

联系信息

传记

Dr. Saurav Roychoudhury, a 教授 of Finance and 经济学 at 威尼斯人平台, has an extensive background in the field. 他获得了博士学位。.D. 在经济学, 有金融专业, from West Virginia University's College of 业务 and 经济学 in 2006. His professional journey includes positions at the Industrial Investment Bank of 印度 and the Reserve Bank of 印度's 部门 of Economic Analysis and Policy. He holds a master's degree 在经济学 from Jawaharlal Nehru University, 印度, an 工商管理硕士 from ICFAI 业务 School, 印度. 另外, he is a Chartered Financial Analyst (CFA) from the Institute of Chartered Financial Analysts of 印度 and holds a Financial 风险 Manager (FRM) certification from the Global Association of 风险 Professionals. 

Dr. Roychoudhury's areas of expertise include corporate finance, 治理, 数据分析, 投资, 公共政策, 风险管理. He has presented his research at numerous national and international academic conferences and has been published in various peer-reviewed journals. He's also an author and contributor to multiple book chapters. He received accolades such as the best doctoral teaching award at West Virginia University in 2005 and the best paper award in Finance at the American 业务 research conference in 2012. He has developed peer-reviewed modules on computational finance using MS Excel, 由国家科学基金会资助, 他是哪里的副警长.

He is known for advocating undergraduate research and enjoys mentoring students. Dr. Roychoudhury has refereed for several journals and is on the editorial board of a few international journals. His research has been featured in The Economist, Slate, Bloomberg 业务week. In 2013-14, he was a visiting research scientist at the 印度n Statistical Institute during his sabbatical.

此外,博士. Roychoudhury conducts economic impact studies for public and private entities and writes expert opinion letters for foreign nationals in Finance, 经济学, 和业务. His consulting experience extends to start-ups and large corporations like Mercedes Benz, USA. 在威尼斯人平台, 他在几个委员会任职, including the University Budget and Planning, 教师评价, 及退休计划委员会. He is also the faculty advisor for the Student Managed Investment Fund and mentors the university's CFA Research Challenge team.

度了

Ph.D.商学院 & 西弗吉尼亚大学经济学专业

Financial 风险 Manager (FRM), Global Association of 风险 Professionals

Chartered Financial Analyst (CFA), Institute of Chartered Financial Analysts of 印度

工商管理硕士 (Finance and IT), IBS, 印度, 2000

Master's degree 在经济学, Jawaharlal Nehru University in New Delhi, 印度

本科

Finance (traditional and Hybrid Offering)

投资融资

企业融资

金融机构、市场 & 风险

国际业务

金融建模

中级宏观经济理论 & 实践(经济学)

Introduction to Political Economy (经济学)

计量经济学方法(经济学)

工商管理硕士

财务管理

Excel财务建模

定量分析方法

出版物

Roychoudhury,年代.布米克,A. & S. 将挑战. 2023. “创新与管治”. 经济与金融杂志. http://doi.org/10.1007/s12197-023-09632-z 

Roychoudhury,年代. 2018. ‘使用Excel进行风险价值教学’. 经济与金融杂志 教育 17(2), pp. 81-95. 

Roychoudhury,年代. 2018. ‘Creating Optimal Portfolio and the Efficient Frontier Using Microsoft Excel®’. 定量方法杂志, 2(2), pp. 104-136. 

Prosad J. M.卡普尔,S.森古普塔,J., & S. Roychoudhury. 2018. ‘Overconfidence and Disposition Effect in 印度n Equity Market: An Empirical Evidence’. 《威尼斯人平台》, 19(5), 1303-1321. 

Roychoudhury,年代.,和R. A. 劳森. 2016. 'Do Travel Visa Requirements Impede Tourist Travel?'. 经济与金融杂志 39(4), pp. 817-12. 

S. T. 马龙 & S. Roychoudhury,. 2012. ‘银行首席执行官薪酬过高吗?’. Journal of 业务 and Policy Research 7(4), pp. 30-39. 

Roychoudhury,年代.,和R. A. 劳森. 2010. ‘Economic Freedom and Sovereign Credit Ratings and Default 风险’. 金融经济政策杂志 2(2), pp. 149-162. 

Roychoudhury,年代.,和A. B. 阿伯特. 2009. ‘IPO Performance and Corporate Governance: Evidence from the US Stock Market.’. InternationalJournal of Global 业务 and 经济学 2(2), pp. 202-216. 

Roychoudhury,年代.,和A. V. 起来. 2009. ‘Corporate Innovation and Corporate Governance: A Study of U.S. 公司的. 公司所有权和控制权 6(3), pp. 342-359. 

Roychoudhury,年代. 和R. A. 劳森. 2008. ‘Economic Freedom and Equity Prices among the U.S. 州的. The Credit and 财务管理 Review 14(4), pp. 33-46. 

 

其他出版物 

‘Effect of Corporate Tax Cuts on 资本 Structure in the US: A Short Run Analysis,’ 21世纪会议记录ST LHBSS会议, 2019.  

‘State Economic Performance and Effective Tax Rates’ (with P. A. 雅科夫列夫),2017年, Journal of Emerging Issues in 经济学, 金融及银行业 6(2), pp. 2350-65. 

创新与监管,' Proceedings of the Seventh European Academic Research Conference on Global 业务, 经济学, 金融及银行业, 2017. 

‘Liquidity and IPO performance in the last decade’ (. 阿伯特), MITS International Journal of 业务 Research 1(1), 2014. 

'The Economic Gains from Eliminating US Travel Visas(带R). A. 劳森和R. Murphy), 经济发展简讯, 19, 2014. 

'Estimating 风险-Adjusted Returns,' 2011, Development and Dissemination of Computational Science 教育al Materials, NSF computational science module, Vol (3). 

'Likelihood of Loss and the Value at 风险,'2010, Development and Dissemination of Computational Science 教育al Materials, NSF computational science module, Vol (2). 

'Allocation of investment portfolios along the efficient frontier,' 2007, Development and Dissemination of Computational Science 教育al Materials, NSF computational science module, Vol (1). 

书和书的章节 

Chapter 2: "创新与监管: An Inverted-U Relationship?" in Globalisation and Development: Perspectives and Policies, gph, isbn:9788121215633, 2019. 

Chapter 2: “Creating the Environment for Entrepreneurship through Economic Freedom,罗伯特·劳森和约书亚·霍尔, in 公共政策, Productive and Unproductive Entrepreneurship: the impact of 公共政策 on entrepreneurial outcomes, Elgar Publishing, ISBN: 9781781005804, 2017. 

Chapter 3: “Entrepreneurship, Migration and 公共政策,” with Pavel Yakovlev, in 公共政策, Productive and Unproductive Entrepreneurship: the impact of 公共政策 on entrepreneurial outcomes, Elgar Publishing, ISBN: 9781781005804, 2017. 

Initial Public Offerings, Liquidity, Corporate Governance, 兰伯特学术出版社

Isbn-10: 3838318420, 2009.