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Hamid Rahman, PhD
Professor Marshall Goldsmith School of Management
Alliant International University 10455 Pomerado Road Bldg. C, Room 3 San Diego, CA 92131
Phone: (858) 635-4529 Fax: (858) 635-4794 Email
| Specialties and Interests - Corporate finance
- Investments
- International finance
- Managerial accounting
Research and Programs - Volatility transmission and market efficiency
Recent Dissertations Chaired - An Empirical Study of The Effect of Acquisitions on Shareholder Wealth in Thailand
- The Effects of Macroeconomic Variables on The Southeast Asian Stock Markets (Indonesia, Malaysia, Philippines, And Thailand) During The Period of Asian Miracle and Asian Crisis
- The Factors That Influence The Implementation of Corporate Governance
- Model Comparisons and Empirical Heuristic Map for Pricing American Currency Options
Courses Taught - Corporate Finance
- Advanced Corporate Finance Theory
- Working Capital Management
- Financial Markets and Institutions
- Seminar in International Finance
- Financial Markets and Institutions
- Financial Information Systems
- Managerial Accounting
- Intermediate Financial Accounting
- International Accounting
Selected Publications - "Consequences of the Asian Financial Crisis on Global Asset Allocation Strategies: Evidence from the Asian Block," The International Review of Comparative Public Policy, forthcoming. Co-authors Eric Girard and Tarik Zaher.
- "Is there News in the Club?" The Journal of Financial Research, Vol. XXIII, No 3, Fall 2000. Co-author Kenneth Yung.
- "Insurance IPOs - A Test of the Underpricing Theories," The Journal of Insurance Issues, Vol. XXII, No. 1, Spring 1999. Co-author Kenneth Yung.
- "Life Insurer Stock Returns, Real Activity, Expected Inflation Rates, and the Money Supply," Journal of Insurance Issues, Vol. XX, No.2, Fall 1997. Co- authors Lisa Gardener and Mohammad Najand.
- "Atlantic and Pacific Stock Markets - Correlation and Volatility Transmission," Global Finance Journal, Vol. 5, No.2, 1994. Co-author Kenneth Yung.
- Inter-currency Transmission of Volatility in Foreign Exchange Futures," The Journal of Futures Markets, December 1992, Vol. 12, No.6. Co-authors Mohammad Najand and Kenneth Yung.
- "Optimal Hedge Ratios for Property Casualty Insurance Companies," Journal of Insurance Issues, Vol. XV, No.2, July 1992.
- Optimal Futures Position for Life Insurance Companies," The Journal of Futures Markets, Vol. 12, No.1, February 1992. Co-author Mohammad Najand.
- "Stock Market Volatility and Macroeconomic Variables: International Evidence," Journal of Multinational Financial Management, Vol. 1, No.3, 1991. Co-author Mohammad Najand.
- "The Investment Decision Criterion and Growth Theories," Pakistan Administration Journal, Vol. XIX, No.2, July-December 1982.
- "Current Issues in Corporate Policy Making," Public Administration Review, July-December 1981.
Professional Activities - Member of the Financial Management Association
Degrees, Professional Licenses, Certifications, and Honors - PhD, Syracuse University 1987 Finance
- MBA, Cranfield Institute of Technology, U.K. 1976 Finance and Accounting
- DDE, Oxford University, U.K. 1975 Dev. Economics
- MSc Punjab University, Pakistan 1966 Geology BSc Punjab University, Pakistan 1965 Geology
Honors: Academic:
- Awarded the Pakistan Petroleum Gold Medal for standing first in the MSc exam
- Awarded the Pakistan Chrome Mines Ltd. Gold Medal for standing first in BSc.
Teaching:
- President"s Award for Excellence in Teaching 1998-99 U.S. International University.
Research:
- Best Paper in Investments Award at the Academy of Financial Services Conference 2001.
Interests and Hobbies - International relations
- Comparative religions
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