Prof. Ronald W. Anderson
Dr. Jens M. Kothes
Mr. Kerby Hsiou Li
Mrs. Cheng Tu
Prof. Ronald W. Anderson
 
Prof. Ronald W. Anderson
Professor of Finance
London School of Economics
Houghton Street
London WC2A 2AE, Great Britain
Economist, contractual consultant to CFI since inception. Supervises market analysis and ongoing technical research.
  RESEARCH INTERESTS
Financial Economics, Financial Aspects of Economic Transition
  EDUCATION
M.A. (1970) and Ph.D. (1976) in Economics, University of Michigan
B.A. (1969) in Economics, Colgate University
  APPOINTMENTS
Professor of Finance, London School of Economics, Great Britain (2000 - present)
President, Institut de Recherches Economiques et Sociales,
Université Catholique de Louvain, Belgium (1998 - 2000)
Professeur Ordinaire, Université Catholique de Louvain, Belgium (1990 - 2000)
Visiting Professor of Finance, Hong Kong University of Science and Technology (1997 -1998)
Fellow, Center for Economics and Policy Research, London (1991 - present)
Non-resident Fellow, European Center for Advanced Research in Economics (1992 -present)
Wasserman Visiting Professor of Finance, Baruch College, City University of New York (1994 - 1995)
Associate Professor (1980 - 1984) and Assistant Professor (1976 - 1980), Graduate School of Business, Columbia University
  SELECTED PUBLICATIONS
Transition Banking: The Financial Development of Central and Eastern Europe. (1998)
The Clarendon Press, Oxford (with Chantal Kegels)
"Numerical Analysis of Strategic Contingent Claims," (with Cheng Tu) Journal of Computational Economics. (1998 forthcoming).
"A New Index of Belgian Shares," Revue de la Banque.(1998 forthcoming) (with D. Reinhard and O. Scaillet)
"The Design and Valuation of Debt Contracts," (with S. Sundaresan). Review of Financial Studies. (1996) 9, 37-68.
"Strategic Analysis of Contingent Claims," (with S. Sundaresan and P. Tychon) European Economic Review. (1996) 40, 871-882.
"Trade and Storage," in D. Martimort (ed.) Agricultural Markets: Mechanisms, Failures and Regulations. North-Holland, 1996.
Banking Sector Development in Central and Eastern Europe. (1996) (with E. Berglöf and K. Mizsei) (Economic Policy Initiative, CEPR and Institute for Eat West Studies).
"An Exploration of the Complementarity of Bank Lending and Securities Markets" in M. Pagano and A. Roell (eds.) The Decision to Go Public and the Stock Market as a Source of Capital. (1996) Quaderni di Ricerche 19, Rome.
"Market Stabilisation and the Reform of the Common Agricultural Policy," European Economy. (1995).
"Competition among European Financial Markets: The Case of Cross-listed Belgian Equities," (with Pierre Tychon) Revue de la Banque. (1993).
"Cross Hedging," "Cornering the Market," and (joint with C. Gilbert) "Commodity Agreements" in P. Newman et.al. (eds) The New Palgrave Dictionary of Money and Finance. (Macmillan, 1992).
   
   
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