TITMAN, Sheridan
联系方式:stitman@saif.sjtu.edu.cn
秘书:樊玮娜
邮箱:wnfan@saif.sjtu.edu.cn
教授简介
研究领域
学术成果
SAIF所授课程
教育背景:博士学位:卡内基梅隆大学经济学,1981
硕士学位:卡内基梅隆大学经济学,1978
学士学位:科罗拉多大学管理科学,1975
教授介绍:Sheridan Titman现任上海交通大学上海高级金融学院****德克萨斯大学奥斯汀分校McCombs商学院金融系教授、Walter W. McAllister Centennial Chair in Financial Services、德克萨斯大学能源管理与创新中心主任,并在美国国家经济研究局任研究员。在加入德克萨斯大学之前,Titman教授曾在加州大学洛杉矶分校、香港科技大学和波士顿学院执教,并于1988-89学年在华盛顿担任财政部经济政策助理部长的特别助理。
Titman教授在顶级专业期刊上发表了50多篇文章,广受****和行业专家的好评。还合著出版了三本金融学的教科书: Financial Markets and Corporate Strategy, Valuation: The Art and Science of Corporate Investment Decisions, Financial Management: Principles and Applications。
Titman教授曾担任亚洲金融协会(Asian Finance Association)、金融管理协会(the Financial Management Association)、西方金融协会(Western Finance Association)和美国金融协会(American Finance Association)的理事,他还曾经担任美国西部金融学会和美国金融协会的主席。
政府会计,公司金融,投资和房地产。
1. Cheng, Si, Allaudeen Hameed, Avanidhar Subrahmanyam, and Sheridan Titman, 2017, Short-Term Reversals: The Effects of Past Returns and Institutional Exits, Journal of Financial and Quantitative Analysis.
2. Titman, Sheridan, 2017, Does Ownership Structure Matter?, European Financial Management.
3. Andres Almazan, Adolfode Motta, Sheridan Titman, 2015, Debt, labor markets, and the creation and destruction of firms, Journal of Financial Economics.
4. Libo Sun,Sheridan D. Titman, Garry J. Twite, 2015, REIT and Commercial Real Estate Returns: A Postmortem of the Financial Crisis, Real Estate Economics.
5. Casey Dougal, Christopher A. Parsons, Sheridan Titman, 2015, Urban Vibrancy and Corporate Growth, The Journal of Finance.
6. Jay C. Hartzell, Libo Sun, Sheridan Titman, 2014, Institutional investors as monitors of corporate diversification decisions: Evidence from real estate investment trusts, Journal of Corporate Finance.
7. Sheridan Titman, Ko Wang, Jing Yang, 2014, The Dynamics of Housing Prices, Journal of Real Estate Research.
8. Avanidhar Subrahmanyam, Sheridan Titman, 2013, Financial Market Shocks and the Macroeconomy, The Review of Financial Studies.
9. Sheridan Titman, Garry Twite, 2013, Urban density, law and the duration of real estate leases, Journal of Urban Economics.
10. John D. Martin, J. Douglas Ramsey, Sheridan Titman, Larry W. Lake , 2013, A Primer on the Economics of Shale Gas Production: Just how Cheap is Shale Gas?, Journal of Applied Corporate Finance.
11. Joseph P.H. Fan, Sheridan Titman, and Gary Twite, 2012, An International Comparison of Capital Structure and Debt Maturity Choices, Journal of Financial and Quantitative Analysis.
12. Armen Hovakimian, Ayla Kayhan, Sheridan Titman, 2012, Are Corporate Default Probabilities Consistent with the Static Trade-off Theory?, The Review of Financial Studies.
13. Ron Kaniel, Shuming Liu, Gideon Saar, Sheridan Titman, 2012, Individual Investor Trading and Return Patterns around Earnings Announcements, The Journal of Finance.
14. John Martin, V. Ravi Anshuman, Sheridan Titman , 2012, An Entrepreneur's Guide to Understanding the Cost of Venture Capital: Just how much does venture capital cost?, Journal of Applied Corporate Finance.
15. V. Ravi Anshuman, John Martin, Sheridan Titman, 2011, Accounting for Sovereign Risk When Investing in Emerging Markets, Journal of Applied Corporate Finance.
16. Eric Jacquier, Sheridan Titman, Atakan Yal??n, 2010, Predicting systematic risk: Implications from growth options, Journal of Empirical Finance.
17. Sheridan Titman, 2010, The leverage of hedge funds, Finance Research Letters.
18. John Martin,Sheridan Titman, 2008, Single vs. Multiple Discount Rates: How to Limit 'Influence Costs' in the Capital Allocation Process, Journal of Applied Corporate Finance.
19. Tim Opler, Armen Hovakimian,Sheridan Titman, 2002, The Capital Structure Choice: New Evidence for a Dynamic Tradeoff Model, Journal of Applied Corporate Finance.
20. Kent Daniel,Sheridan Titman, 1999, Market Efficiency in an Irrational World , Financial Analysts Journal.
21. Kent Daniel,Sheridan Titman, 1998, Characteristics or or Covariances? , The Journal of Portfolio Management.
22. Kent Daniel,Sheridan Titman, 1997, Evidence on the Characteristics of Cross Sectional Variation in Stock Returns, The Journal of Finance.
23. Kent Daniel, Mark Grinblatt, Russ Wermers,Sheridan Titman, 1997, Measuring Mutual Fund Performance with Characteristic Based Benchmarks, The Journal of Finance.
24. Tim Opler , Michael Saron,Sheridan Titman, 1997, Corporate Liability Management: Designing Capital Structure to Create Shareholder Value, Journal of Applied Corporate Finance.
25. Narasimhan Jegadeesh,Sheridan Titman, 1995, Short Horizon Return Reversals and the Bid-Ask Spread, Journal of Financial Intermediation.
26. Narasimhan Jegadeesh,Sheridan Titman, 1995, Overreaction, Delayed Reaction and Contrarian Profits, The Review of Financial Studies.
27. Mark Grinblatt,Russ Wermers,Sheridan Titman, 1995, Momentum Investment Strategies, Portfolio Performance and Herding: A Study of Mutual Fund Behavior, The American Economic Review.
28. Sheridan Titman, 1995, Issuing Equity Under Asymmetric Information, North Holland Handbook of Finance.
29. Sheridan Titman, 1995, Performance Evaluation, North Holland Handbook of Finance.
30. Sheridan Titman,Tim Opler, 1994, Financial Distress and Corporate Performance, The Journal of Finance.
31. Mark Grinblatt,Sheridan Titman, 1994, A Study of Monthly Mutual Fund Returns and Performance Evaluation Techniques, Journal of Financial and Quantitative Analysis.
32. David Hirshleifer, Avanidhar Subrahmanyam,Sheridan Titman, 1994, Security Analysis and Trading Patterns When Some Investors Receive Private Information Before Others, The Journal of Finance.
33. Narasimhan Jegadeesh,Sheridan Titman, 1993, Returns to Buying Winners and Selling Losers: Implications for Stock Market Efficiency, The Journal of Finance.
34. Mark Grinblatt,Sheridan Titman, 1993, Performance Measurement without Benchmarks: An Examination of Mutual Fund Returns,, Journal of Business.
35. Tim Opler,Sheridan Titman, 1993, The Characteristics of Leveraged Buyout Firms, The Journal of Finance.
36. Sheridan Titman, 1992, Interest Rate Swaps and Corporate Financing Choices, The Journal of Finance.
37. Mark Grinblatt,Sheridan Titman, 1992, The Persistence of Mutual Fund Returns, The Journal of Finance.
38. Sheridan Titman,Vojislav Maksimovic, 1991, Financial Policy and a Firm's Reputation for Product Quality, The Review of Financial Studies.
39. Julian Franks , Robert Harris,Sheridan Titman, 1991, The Postmerger Shareprice Performance of Acquiring Firms, Journal of Financial Economics.
40. David Hirshleifer,Sheridan Titman, 1990, Share Tendering Strategies and the Success of Hostile Takeover Bids, Journal of Political Economy.
41. Sheridan Titman, 1990, The Impact of Debt on Management Incentives, Investment Performance and Economic Impact.
42. Eli Talmor,Sheridan Titman, 1990, Taxes and Dividend Policy, Financial Management.
43. Arthur Warga,Sheridan Titman, 1989, Stock Returns as Predictors of Interest Rates and Inflation, Journal of Financial and Quantitative Analysis.
44. Brett Trueman,Sheridan Titman, 1989, An Explanation of Accounting Income Smoothing, Journal of Accounting Research.
45. Mark Grinblatt,Sheridan Titman, 1989, Adverse Risk Incentives and the Design of Performance-Based Contracts, Management Science.
46. Mark Grinblatt,Sheridan Titman, 1989, Mutual Fund Performance: An Analysis of Quarterly Portfolio Holdings, Journal of Business.
47. Sheridan Titman,Walter Torous, 1989, Valuing Commercial Mortgages: An Empirical Investigation of the Contingent Claims Approach to Pricing Risky Debt,, The Journal of Finance.
48. Mark Grinblatt,Sheridan Titman, 1989, Portfolio Performance Evaluation: Old Issues and New Insights, The Review of Financial Studies.
49. Sheridan Titman, 1989, How to Avoid Games Portfolio Managers Play, Institutional Investor Money Management Forum.
50. Roberto Wessels,Sheridan Titman, 1988, The Determinants of Capital Structure, The Journal of Finance.
51. Mark Grinblatt,Sheridan Titman, 1987, The Relation Between Mean-Variance Efficiency and Arbitrage Pricing, Journal of Business.
52. Sheridan Titman, 1987, How Clients Can Win the Gaming Game, The Journal of Portfolio Management.
53. Brett Trueman,Sheridan Titman, 1986, Information Quality and the Valuation of New Issues, Journal of Accounting & Economics.
54. Arthur Warga,Sheridan Titman, 1986, Risk and the Performance of Real Estate Investment Trusts: A Multiple Index Approach, AREUEA Journal.
55. Sheridan Titman, 1985, The Effect of Forward Markets on the Debt-Equity Mix of Investor Portfolios and the Optimal Capital Structure of Firms, Journal of Financial and Quantitative Analysis.
56. Sheridan Titman, 1985, Urban Land Prices Under Uncertainty, The American Economic Review.
57. Sheridan Titman, 1985, An Integrated Approach to Corporate Risk Management, Midland Corporate Finance Journal.
58. Mark Grinblatt,Sheridan Titman, 1985, Approximate Factor Structures: Interpretations and Implications for Empirical Tests, The Journal of Finance.
59. Sheridan Titman, 1984, The Effect of Capital Structure on a Firm's Liquidation Decision, Journal of Financial Economics.
60. Mark Grinblatt , Ronald Masulis,Sheridan Titman, 1984, The Valuation Effects of Stock Splits and Stock Dividends, Journal of Financial Economics.
61. Mark Grinblatt,Sheridan Titman, 1983, Factor Pricing in a Finite Economy, Journal of Financial Economics.
62. Sheridan Titman, 1982, The Effects of Anticipated Inflation on Housing Market Equilibrium, The Journal of Finance.
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上海交通大学上海高级金融学院导师教师师资介绍简介-TITMAN,Sheridan
本站小编 Free考研考试/2021-01-03
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