معرفی
Marti G. Subrahmanyam is a Professor of Finance at New York University's Leonard N. Stern School of Business, with additional affiliation at NYU Shanghai. His research focuses on financial markets, derivatives, credit risk, and market microstructure. He maintains an active research agenda with publications in top finance journals including the Journal of Finance and Journal of Financial Economics.
His research interests span Financial Markets, Derivatives, Credit Risk, Market Microstructure, Corporate Bonds, Interest Rate Options, and Liquidity. His work often examines the intersection of fixed income markets, monetary policy, and financial regulation.
His publication record shows consistent output with 117 scholarly papers and over 66,000 downloads on SSRN. His recent work focuses on central bank interventions, sovereign credit risk, credit default swaps, and market liquidity. His research demonstrates expertise in both theoretical modeling and empirical analysis of financial markets.
His most recent publications include Nonstandard Errors (Journal of Finance, 2024), Central Bank-Driven Mispricing (Journal of Financial Economics, 2025), and In Sickness and in Debt: The COVID-19 Impact on Sovereign Credit Risk (2022).
Professor Subrahmanyam has collaborated with numerous researchers globally, with affiliations spanning institutions in the United States, Europe, and Asia. His work has significant implications for both academic research and financial market practice.
Marti G. Subrahmanyam در سایتهای دیگر
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Davide TomioLeibniz Institute for Financial Research · استادیار- MMarti G. SubrahmanyamCa' Foscari University of Venice · استاد مهمان
Marti G. SubrahmanyamLeibniz Institute for Financial Research · استاد
Yalin GündüzFederal Bank of Germany University · استاد پژوهشی- MMing-Tsung LinUniversity of Sussex · دانشیار
- FFrancis A. LongstaffUniversity of Zurich · استاد