University of Chicago — United States · Economics, Econometrics and Finance
Financial Markets and Investment Strategies, Corporate Finance and Governance, Monetary Policy and Economic Impact, Financial Reporting and Valuation Research, Economic theories and models
National Bureau of Economic Research — United States · Business, Management and Accounting
Corporate Finance and Governance, Financial Markets and Investment Strategies, Banking stability, regulation, efficiency, Corruption and Economic Development, Law, Economics, and Judicial Systems
University of Michigan — United States · Business, Management and Accounting
Corporate Finance and Governance, Financial Markets and Investment Strategies, Auditing, Earnings Management, Governance, Financial Reporting and Valuation Research, Banking stability, regulation, efficiency
Hoover Institution — United States · Business, Management and Accounting
Corporate Finance and Governance, Auditing, Earnings Management, Governance, Financial Reporting and Valuation Research, Financial Markets and Investment Strategies, Accounting and Organizational Management
National Bureau of Economic Research — United States · Economics, Econometrics and Finance
Financial Risk and Volatility Modeling, Market Dynamics and Volatility, Monetary Policy and Economic Impact, Financial Markets and Investment Strategies, Complex Systems and Time Series Analysis
University of Chicago — United States · Business, Management and Accounting
Corporate Finance and Governance, Banking stability, regulation, efficiency, Financial Markets and Investment Strategies, Economic theories and models, Financial Reporting and Valuation Research
Dartmouth College — United States · Economics, Econometrics and Finance
Financial Markets and Investment Strategies, Corporate Finance and Governance, Financial Reporting and Valuation Research, Auditing, Earnings Management, Governance, Monetary Policy and Economic Impact
Financial Markets and Investment Strategies, Decision-Making and Behavioral Economics, Housing Market and Economics, Financial Literacy, Pension, Retirement Analysis, Economic theories and models
John Brown University — United States · Business, Management and Accounting
Corporate Finance and Governance, Corruption and Economic Development, Banking stability, regulation, efficiency, Taxation and Compliance Studies, Financial Markets and Investment Strategies
Unknown · Engineering
Wireless Communication Security Techniques, Computability, Logic, AI Algorithms, Financial Markets and Investment Strategies, Stochastic processes and financial applications, Cooperative Communication and Network Coding
Corporate Finance and Governance, Financial Markets and Investment Strategies, Banking stability, regulation, efficiency, Global Financial Crisis and Policies, Auditing, Earnings Management, Governance
Financial Markets and Investment Strategies, Corporate Finance and Governance, Market Dynamics and Volatility, Monetary Policy and Economic Impact, Global Financial Crisis and Policies
Massachusetts Institute of Technology — United States · Economics, Econometrics and Finance
Banking stability, regulation, efficiency, Financial Markets and Investment Strategies, Economic theories and models, Stochastic processes and financial applications, Credit Risk and Financial Regulations
Financial Markets and Investment Strategies, Monetary Policy and Economic Impact, Housing Market and Economics, Credit Risk and Financial Regulations, Banking stability, regulation, efficiency
Corporate Finance and Governance, Financial Markets and Investment Strategies, Housing Market and Economics, Financial Reporting and Valuation Research, Banking stability, regulation, efficiency
University of Victoria — Canada · Economics, Econometrics and Finance
Financial Markets and Investment Strategies, Economic theories and models, Stochastic processes and financial applications, Financial Reporting and Valuation Research, Housing Market and Economics
IE University — Spain · Business, Management and Accounting
Financial Reporting and Valuation Research, Corporate Finance and Governance, Capital Investment and Risk Analysis, Economic theories and models, Financial Markets and Investment Strategies
Dana-Farber/Harvard Cancer Center — United States · Economics, Econometrics and Finance
Banking stability, regulation, efficiency, Financial Markets and Investment Strategies, Corporate Finance and Governance, Global Financial Crisis and Policies, Economic theories and models
Unknown · Economics, Econometrics and Finance
Financial Markets and Investment Strategies, Economic theories and models, Stochastic processes and financial applications, Complex Systems and Time Series Analysis, Capital Investment and Risk Analysis
Housing Market and Economics, Financial Markets and Investment Strategies, Monetary Policy and Economic Impact, Economic theories and models, Financial Literacy, Pension, Retirement Analysis
Financial Markets and Investment Strategies, Complex Systems and Time Series Analysis, Economic theories and models, Banking stability, regulation, efficiency, Market Dynamics and Volatility
University of California, Los Angeles — United States · Economics, Econometrics and Finance
Financial Markets and Investment Strategies, Corporate Finance and Governance, Monetary Policy and Economic Impact, Market Dynamics and Volatility, Complex Systems and Time Series Analysis
Financial Literacy, Pension, Retirement Analysis, Housing Market and Economics, Decision-Making and Behavioral Economics, Economic theories and models, Financial Markets and Investment Strategies
Corporate Finance and Governance, Financial Reporting and Valuation Research, Corporate Taxation and Avoidance, Financial Markets and Investment Strategies, Auditing, Earnings Management, Governance
University of Southern California — United States · Economics, Econometrics and Finance
Financial Markets and Investment Strategies, Corporate Finance and Governance, Auditing, Earnings Management, Governance, Complex Systems and Time Series Analysis, Experimental Behavioral Economics Studies