基本信息
浏览量:0
职业迁徙
个人简介
Prof. Ravi Bansal is J.B. Fuqua Professor of Finance and Economics at Duke University and Research Associate at the NBER. He is a leader in the fields finance and macroeconomics and has published extensively in leading journals such as the Journal of Finance, American Economic Review and the Journal of Political Economy. His research provides new insights about the connections between economic growth and uncertainty to bond, equity, and currency markets. His pioneering work on identifying risks in capital markets, specifically long-run risks, is cited and discussed in the scientific background article for the 2013 Nobel Prize in Economics. Many of his PhD students have placed at leading academic institutions, central banks, and investment banks. In addition to Duke University, he has taught at Wharton School of Business, Stanford University, and the Indian School of Business. He earned his PhD from Carnegie Mellon University and prior to his doctorate, he studied at the Delhi School of Economics, Delhi University, and St. Xavier’s School (Delhi).
研究兴趣
论文共 16 篇作者统计合作学者相似作者
按年份排序按引用量排序主题筛选期刊级别筛选合作者筛选合作机构筛选
时间
引用量
主题
期刊级别
合作者
合作机构
semanticscholar(2018)
引用1浏览0引用
1
0
JOURNAL OF BUSINESS & ECONOMIC STATISTICSno. 1.0 (2011): 161.0-173
Hui Chen,John H. Cochrane, Doug Diamond,Pietro Veronesi,Heitor Almeida,Ravi Bansal,Pierre Collin-Dufresne, Darrel Duffie,Dirk Hackbarth,Lars Peter Hansen,Andrew Hertzberg,Francis A. Longstaff,
semanticscholar(2011)
引用0浏览0引用
0
0
msra(2010)
Handbook of the Equity Risk Premiumpp.167-193, (2008)
mag(2007)
引用23浏览0引用
23
0
加载更多
作者统计
合作学者
合作机构
D-Core
- 合作者
- 学生
- 导师
数据免责声明
页面数据均来自互联网公开来源、合作出版商和通过AI技术自动分析结果,我们不对页面数据的有效性、准确性、正确性、可靠性、完整性和及时性做出任何承诺和保证。若有疑问,可以通过电子邮件方式联系我们:report@aminer.cn