Keynote Speakers

 

Tarun Chordia is R. Howard Dobbs Professor of Finance Goizueta Business School, Emory University Professor Tarun Chordia received his PhD in finance from the Anderson Graduate School of Management, UCLA, in 1993. He was an Assistant Professor of Finance at the Owen Graduate School of Management, Vanderbilt University from 1993. He joined the Goizueta Business School at Emory University in 2000. Prior to his doctoral studies, he worked for Citibank as a relationship and credit manager in the Financial Institutions Group. Professor Chordia’s research is grounded in both theory and empirical methods and spans a diverse area of financial economics. He has published extensively in the top finance journals and has received numerous awards and grants for his research on empirical asset pricing and market microstructure. He is the former managing editor of the Journal of Financial Markets and a past associate editor of Review of Financial Studies. Professor Chordia has been on the program committee for a number of conferences. He has presented at many conferences and has served as a referee for numerous journals.

https://goizueta.emory.edu/faculty/profiles/tarun-chordia

 

 

David Thesmar is the Franco Modigliani Professor of Financial Economics and a Professor of Finance at the MIT Sloan School of Management.

 He is an expert in corporate finance, financial intermediation, entrepreneurship, and behavioral economics. Recently, he has studied the impact of financing constraints on the real economy. Thesmar also investigates risk management and systemic risk in banking. He has also researched firm organization and non-rational decision making on corporate strategies. His work makes systematic use of large datasets but emphasizes a parsimonious modelling approach to address economic questions.

 A native of France, David Thesmar has been involved in policy advising both at the French and European level. He was a member of the council of economic advisors to the French prime minister from 2007 to 2013, and is currently a scientific adviser to the European Systemic Risk Board. An active participant in the public debate, Thesmar is the author of several books, and a regular columnist for the French daily newspaper Les Echos. He has also held numerous consulting positions in the private sector, with a focus on big data related topics.

 David Thesmar holds a BA in physics and economics from École Polytechnique, and a PhD from the Paris School of Economics.

 Current Research Focus: David Thesmar's research is in corporate finance. One first area is valuation, with an emphasis on forecasting rules and valuation methods. This line of research employs survey data as well as laboratory experiments in order to shed light on the efficiency of the capital budgeting process. Another related area is corporate governance: He shows that ESG investment does not contradict value creation. A third line of research argues that finance benefits the economy by allocating capital to the right projects: He finds that this contribution is very large.

https://mitsloan.mit.edu/faculty/directory/david-thesmar