Resume/CV




MOHAMMED MAHTABUDDIN CHAUDHURY (MO CHAUDHURY)

95 Rue Acres, Kirkland, QC, Canada H9H 4Z4

Cell and Whatsapp: +1-514-944-3167, mo.chaudhury@mcgill.ca, mochaudhury@gmail.com http://www.mochaudhury.com

ACADEMIC EMPLOYMENTS

McGill University, Montreal, Canada (1996/2024):  Associate Professor of Finance (Teaching)

Southern Methodist University, Dallas, USA (1995/1996): Visiting Assistant Professor of Finance

University of Saskatchewan, Saskatoon, Canada (1985/1995): Assistant and then (since 1989) tenured Associate Professor of Finance                                                                           

INDUSTRY EMPLOYMENTS

State Street Corporation, Boston, MA (2007/08): Director, Market and Operational Risk Analytics; Director, Model Risk Management

Freddie Mac, McLean, VA (2002/03): Principal Economist, Single Family Portfolio Management


EDUCATION

Simon Fraser University, BC, Canada (1981/1986): Ph.D. Economics (Major: Finance; Minor Fields: Econometrics, International Economics)

University of Waterloo, Waterloo, Canada (1980/81): M.A. Economics

University of Dhaka, Dhaka, Bangladesh (1973/78): M.A. Economics; B.A. Honours Economics

 

TEACHING EXPERIENCE (36 Years):

Courses: Corporate Finance, Applied Corporate Finance, Investment Management, Global Investments, Real Estate Finance, International Finance, International Corporate Finance

Supervision of Research: Undergraduate, MBA, MSc, PhD (for Graduate Research Trainees from other universities)   Service: Academic Committees, Curriculum Revisions

 

RESEARCH (27 Full Papers in Refereed Journals) Google Scholar: Mo Chaudhury - Google Scholar

Principal Areas: Derivatives and Financial Risk Modeling, Financial Crisis, Emerging Markets, International Finance

 

PROFESSIONAL SERVICE

Served as Program Committee Committee Member of various Finance Associations, Reviewed papers for various conferences and journals

 

MEDIA EXPERIENCE

Wrote 50 Op-Eds in Bangladesh news media (www.mochaudhury.com) , Offered many expert interviews to media outlets worldwide


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CURRICULUM VITAE OF MO CHAUDHURY
 
I. PERSONAL DATA
 
Address:              95 Rue Acres
                                Kirkland, QC, Canada H9H 4Z4
Tel:                        1-514-694-3167
Email:                   mochaudhury@gmail.com         Website: www.mochaudhury.com
Citizenship:         Canadian and Bangladeshi    
Google Scholar: Mo Chaudhury - Google Scholar                                                                             
II. INDUSTRY EXPERIENCE

A. State Street Corporation, Boston, MA (2007/08)
Identified as Key Talent for 2008 as part of the 2007 Vice President Leadership Review process at State Street.
Key Talent is someone who exhibits both strong current performance and the promise of future leadership.
VP, Model Validation Group
 
Director, Market and Operational Risk Analytics
 
With 7 highly qualified staff, leading State Street’s analytical modeling and measurement of VaR, regulatory capital,
and economic capital in the areas of market risk and operational risk, and the Basel II qualification efforts in these
two areas                           
 
Major Accomplishments:
 
      Played a crucial role in the multi-departmental effort of managing the crisis related to the conduits
in the wake of the literal shut down of the Asset backed Commercial Paper market, especially in the
area of Fin 46 ramifications and basis swap structuring and pricing.
 
      Led daily production of Market Risk VaR report on 70,000 positions in 55 currencies worldwide;
led the development of a new market risk economic capital model; led the completion of technical
documentation of a suit of 11+ valuation and risk models; led the approximate estimation of
economic capital as the provider of wrap for Stable Value funds; led the design of new stress tests
as part of a comprehensive stress testing program for market risk; led a major investigation of the
foreign exchange hedging of foreign deposits; developed credit spread VaR for the trading book;
established a Market Risk Advisory Committee and chaired this committee.
 
      In the Ops Risk area, led Risk Analytics participation in developing the scenario workshop design
and conduct of the scenario workshops; recruited and coordinated the advisory services of an MIT
behavioral economist; led the development of a rigorous AMA model.
 
Director, Model Risk Management                         
 
Major Accomplishments:
      Launched a vigorous and highly successful model governance program acting as the de facto secretariat
for the Model Assessment Committee.
      Reviewed changes to major models such as Interest Rate Risk Capital, SR 9918 Ops Risk Capital, and
FIN 46 Model.
      Helped develop model inventory and model classification process.
 
B. Freddie Mac, McLean, VA (2002/03)
            Led the estimation and reporting of Fair value for the Single Family (SF) Book of Business. Also, actively
participating in improving fair value disclosure methodology across the corporation. 
            Led the forecasting of SF Guarantee Business Growth and Product Mix Change in relation to Tracking SF Ex Ante
and Ex Post Profitability (and Credit Losses).
            Led the analysis of OFHEO (Regulatory) Capital Sensitivity of SF Book and its components. A reasonable
but simplified framework for estimating OFHEO Capital has been identified for this purpose. 
            Presented a coherent framework for Economic, Minimum and OFHEO Risk Based Capital for SF Portfolio
Management and Capital Assignment purposes.
            Adapted the Discounted Cash Flow Method to the valuation of Freddie Mac's credit guarantee business
and established links for reconciliation with the Present Vale Added method. This allows valuation and
performance evaluation that are bemchmarked to capital market.
            Advised on several issues and concerns: SF Risk Management Strategy, Evaluation of SF Credit Risk Coverage,
the Retrun on Equity Business Model and its implication for Yield Income on Risk Capital Balance, Valuation
of Cancellable Default Swaps, Innovative Home Equity Derivatives.
 
 
III. TEACHING AND RESEARCH EXPERIENCE

Teaching Experience (30+ years)
 
Areas:
Derivatives and Risk Management                                   Real Estate Finance
Investments and Portfolio Management                        Applied Corporate Finance          
International Finance                                                             International Corporate Finance
Finance Theory                                                                         Financial Markets
Microeconomics for Managers
 
Programs: BCOM, MBA, MBA Japan, McGill Executive Institute, MBA Program in China
 
Research Experience (30+ years)
Principal Areas:                               
o   Derivatives and Financial Risk Modeling
o   Financial Crisis
o   Emerging Markets, International Finance, Behavioral Finance
 
Industry Experience:        Market and Operational Risk Management, Model Risk Management, Mortgage Finance
 
 
IV. TEACHING POSITIONS HELD
2017/2024 Associate Professor of Finance (Teaching), Retired,  McGill University
                    Montreal, Quebec, Canada                     
                   
1998/2017 Special Category Faculty (Lecturer) Position in Finance, McGill University, Montreal, Quebec, Canada
                    Taught Undergraduate and MBA courses in Applied Corporate Finance (Cases), Investments and Portfolio
                    Management, International Finance, Derivatives and Risk Management, and Real Estate Finance, McGill MBA
                    Japan course on Finance in Tokyo, Finance Instructor and Coordinator of the IMPM Program, McGill Executive
                    Institute (1999/02)
 
1996/98    Visiting Associate Professor of Finance, McGill University       
                    Montreal, Quebec, Canada
Taught Undergraduate and MBA Applied Corporate Finance (Cases), International Corporate Finance,
and Investments and Portfolio Management 
 
1995/96    Visiting Faculty, Cox School of Business, Southern Methodist University
                    Dallas, Texas, United States
                    Taught MBA Investments Management
 
1985/95    (Tenured Associate Professor in 1989) College of Commerce,
                    University of Saskatchewan
                    Saskatoon, Saskatchewan, Canada     
                    Taught Undergraduate and MBA courses in Financial Management- theory and cases, Investments, and
                    Financial Markets
 
V. RESEARCH
 
A. REFEREED JOURNAL PUBLICATIONS
 
Google Scholar: Mo Chaudhury - Google Scholar
 
  1. P. Piccoli and M. Chaudhury, 2018, Overreaction to Extreme Market Events and Investor Sentiment,
Applied Economics Letters 25(2), 115-118. [Published online in 2017]
DOI: 10.1080/13504851.2017.1302052 http://www.tandfonline.com/doi/full/10.1080/13504851.2017.1302052
Citations include 
Citations of Overreaction to extreme market events and investor sentiment – 5 – Web of Science Core Collection
 
  1. P. Piccoli, M. Chaudhury and A. Souza, 2017, How Do Stocks React to Extreme Market Events? Evidence
from Brazil, Research in International Business and Finance 42(December), 275-284.
https://doi.org/10.1016/j.ribaf.2017.07.166
Citations include
Citations of How do stocks react to extreme market events? Evidence from Brazil – 6 – Web of Science Core Collection
 
  1. P. Piccoli, M. Chaudhury, A. Souza and W. V. da Silva, 2017, Stock Overreaction to Extreme Market Events,
 North American Journal of Economics and Finance 41(July), 97-111.
http://ac.els-cdn.com/S1062940816301346/1-s2.0-S1062940816301346-main.pdf?_tid=0e299ff8-23ce-11e7-acc9-00000aacb360&acdnat=1492475536_75c0e30af9d0a338fd407f3fa9cfbb0c
Citations include Citations of Stock overreaction to extreme market events – 9 – Web of Science Core Collection
 
  1. M. Chaudhury, 2017, Volatility and Expected Option Returns: A Note, Economics Letters 152 (March),
 1-4. [Lead Paper] http://www.sciencedirect.com/science/article/pii/S0165176516305237 Google Scholar
[Citations include J. Fullwood, J. James,  and IW Marsh, IW, 2021, Volatility and the cross-section of returns on FX options, Journal of Financial Economics 141 (3),1262-1284; D. Ryu and J. Yu, 2021, Informed options trading around holidays, Journal of Futures Markets 41 (5), 658-685; P. Reichling, P and A. Zbandut, A, 2019, Costs of capital under credit risk, Journal of Credit Risk 15 (4), 1-28.
 
  1. M. Chaudhury, 2016, Why Basel II Market Risk VaR is Too Conservative?, Journal of Trading 11(1), 6-12. [Lead Paper]
[An earlier version is available at https://papers.ssrn.com/sol3/papers.cfm?abstract_id=1809801]
 
  1. M. Chaudhury, 2015, Option Bid-Ask Spread and Liquidity, Journal of Trading 10(3), 44-56. [Summer 2015 special
issue on liquidity]
http://www.iijournals.com/doi/abs/10.3905/jot.2015.10.3.044?journalCode=jot
https://papers.ssrn.com/sol3/papers.cfm?abstract_id=1769126
 
[Citations include Y. Shvimer and A. Herbon, 2021, Non-tradability interval for heterogeneous rational players in the option markets, Computational Management Science, https://doi.org/10.1007/s10287-021-00413-9; J. Horvath, 2019, Isolating the disaster risk premium with equity options, Journal of Empirical Finance 51 (March), 138-148 Elsevier Enhanced Reader; R Grover and S Thomas, 2012, Liquidity Considerations in Estimating Implied Volatility, Journal of Futures Markets 32(8), 714-741; Wu et al, 2014, Hedging costs, liquidity, and inventory management: The evidence from option market makers, Journal of Financial Markets 18, 25-48; Book: Y Hilpisch, 2015, Derivatives Analytics with Python: Data Analysis, Models, Simulation, Calibration and Hedging (Wiley)]
 
  1. M. Chaudhury, 2014, How Did the Financial Crisis Affect Daily Stock Returns?, Journal of Investing 23(3), 65-84.
https://papers.ssrn.com/sol3/Papers.cfm?abstract_id=1802826
 
  1. M. Chaudhury, 2010, A Review of the Key Issues in Operational Risk Capital Modeling, the Journal of Operational
Risk 5(3), 37-66.
Citations by 28 papers:
(https://scholar.google.com/scholar?oe=utf-8&client=firefox-b&um=1&ie=UTF-8&lr&cites=16809892518705823358)
Citation by 12 Papers (overlap with Google Scholar:
Citations of A review of the key issues in operational risk capital modeling – 12 – Web of Science Core Collection)
Citations include C. Eckert, N. Gatzert, and D. Heidinger, 2020, Empirically assessing and modeling spillover effects from operational risk events in the insurance industry, Insurance Mathematics and Economics 93 (July), 72-83; T. Bae and B. Ko, 2020, On the mixtures of length-biased Weibull distributions for loss severity modeling, Journal of the
Korean Statistical Society 49 (2), 422-438; B. Tong, XD Diao, and CF Wu, 2019, Operational risk quantified with spectral risk measures: a refined closed-form approximation, Quantitative Finance 19 (7), 1221-1242; D. Hadley, H. Joe, and N. Nolde, N, 2019, On the selection of loss severity distributions to model operational risk, Journal of Operational Risk 14 (3), 73-94; LuWei, Jianping Li, and Xiaoqian Zhu, 2018, Operational Loss Data
Collection: A Literature Review, Annals of Data Science; C Eckert and N Gatzert, 2017, Modeling operational risk incorporating reputation risk: an integrated analysis for financial firms, Insurance: Mathematics and Economics; Wo-Chiang Lee and Chiang-Jye Fang, 2010, The measurement of capital for operational risk in Taiwanese commercial banks, The Journal of Operational Risk 5(2), 79-102; CJ Fang, 2012, The Empirical Research of Measurement on Liquidity Risk, Operational Risk and Sovereign Risk, Dissertation, Airiti Library; 2011 Operational Risk Reading for FRM Preparation
http://www.gocharter.com.tw/download/2011FRM_StudyGuide.pdf]
 
9.       G. Capelle-Blancard and M. Chaudhury, 2007, Price Clustering in the CAC 40 Index Options Market, Applied Financial Economics. 17(15), 1201-1210. 

[Cited in Owain ap Gwilym and Thanos Verousis, 2013, Price Clustering in
Individual Equity Options: Moneyness, Maturity, and Price Level, Journal of Futures Markets 33(1), 55-76; P Narayan and R Smyth, 2013, Has political instability contributed to price clustering on Fiji's stock market?, Journal of Asian Economics 28, 125-130; R Brooks, E Harris and Y Joymungul, 2013, Price clustering in Australian water markets, Applied Economics 45(6), 677-685]

10.   M. Chaudhury, 2007, Upper Bounds for American Options, Research in Finance, Volume 23, 161-191.

[Citations include Y. Du, S. Xue, and YC Liu, 2019, Robust upper bounds for American put options, Journal of Futures Markets 39 (1), 3-14; Journal of Financial and Quantitative Analysis, and 2010 Swedish dissertation on American options]
 
11.   M. Chaudhury, 2006, What Drives the Growth of Aggregate Residential Mortgage Debt in the U.S.?, Journal of Fixed Income 16(1), June, 21-37

[Cited in Edward Gottesman, 2008, Credit Crisis 101 (or what happened to
“free and clear”?), World Economics 9(3), 47-72; Summary by Gerard Breen in CFA Digest, February 2007, Vol. 37, No. 1: 21-23. WebSite: http://www.cfapubs.org/toc/dig/2007/37/1]
 
12.   R. Bhuyan and M. Chaudhury, 2005, Trading on the Information Content of Open Interest: Evidence from the US Equity Options Market, Derivatives Use, Trading and Regulation 11(1), 16-36.

 [Citations include 2007 MBA Thesis of Hsiang-lin Chang: Forecasting Taiwanese Stock Market Based on the Open Interest on Futures Option, IIT Bombay Paper of SVD Nageswara Rao and Sanjay Kumar Thakur: Optimal Hedge Ratio and Hedge Efficiency:
An Empirical Investigation of Hedging in Indian Derivatives Market, Professional trading site of Mr.Swing.Com:http://swing-analysis.netfirms.com/ed3/1009.htm, Brazilian paper of Daphnis Theodoro da Silva Jr. and Luiz João Corrar: Avaliação Empírica da Existência de Conteúdo Informacional nas Posições de Contratos Futuros em Aberto de Índice Bovespa a Respeito das Cotações Médias do Índice Bovespa a Vista].
 
13.   A. Chen and M. Chaudhury, 2002, The Market Value and Dynamic Interest Rate Risk of Swaps, Research In Finance 19, 199-239. 

[Citations include Andrew Chen, 1997, Derivatives and Bank Regulation, Pacific Basin Finance Journal 5, 157-165]
 
14.   S. Elfakhani, R. Wionzek and M. Chaudhury, 1999, Thin Trading and Mispricing Profit Opportunities in the Canadian Commodity Futures, Quarterly Review of Economics and Finance 39 (1), 37-58.

[Citations include IMF World Economic Outlook, 2004]
 
15.   M. Chaudhury and S. Elfakhani, 1997, Listing of Put Options: Is There Any Volatility Effect?, Review of Financial Economics 6(1), 57-75.

[Citations include well-cited review paper: Stewart Mayhew, 2000, The Impact of Derivatives: What Have We Learned?, University of Georgia Working Paper,  International Review of Finance 2003, Applied Financial Economics 2005, Investment Management and Financial innovations 2006, International Journal of Banking and Finance 2007, International Review of Financial Analysis 2006, Applied Financial Economics 2009]
 
16.   M. Chaudhury and S. Elfakhani, 1997, The Impact of Options Delisting on the Underlying Stocks, Journal of Financial and Strategic Decision 10(3), 43-54.
 
17.   M. Chaudhury and C.F. Lee, 1997, Functional Form of Stock Return Model: Some International Evidence, Quarterly Review of Economics and Finance 37(1), 151-183.
 
18.   M. Chaudhury, C.F. Lee and T.D. Coggin, 1995, Static Versus Dynamic Stock Return Generation Model: Some International Evidence, Advances in Investment Analysis and Portfolio Management 3, 91-122.
 
19.   S. Elfakhani and M. Chaudhury, 1995, The Volatility Effect of Option Listing: Some Canadian Evidence, Quarterly Review of Economics and Finance 35(1), 97-116.

[Citations include Empirical Economics 1997, Well-cited review paper: Stewart Mayhew, 2000, The Impact of Derivatives: What Have We Learned?, University of Georgia Working Paper, Journal of International Money and Finance 2004, International Review of Economics and Finance 2006, Applied Financial Economics 2009]
 
20.   M. Chaudhury, 1995, Some Easy-To-Implement Methods of Calculating American Futures Option Prices, Journal of Futures Markets 15(3), 303-344.

[Citations include the textbook of S. L. Gupta, 2005, Financial Derivatives: Theory, Concepts and Problems, 2004 Master’s Thesis of  Hsieh-Chung Chang: Generalized Analytical Upper Bounds for American Option Prices, ]
 
21.   M. Chaudhury and J. Wei, 1994, Upper Bounds for American Futures Options: A Note, Journal of Futures Markets 14(1), 111-116. 

[Well-Cited, e.g.,in Journal of Monetary Economics, Journal of Econometrics, Journal of
Financial and Quantitative Analysis, Journal of Futures Markets, Journal of Banking and Finance, Journal of Agricultural and Resource Economics, Applied Financial Economics; Information Extraction Survey Book: Martin Mandler, 2003, Market Expectations and Option Prices, Springer; Master’s Thesis: Hsieh-Chung Chang, 2004, Generalized Analytical Upper Bounds for American Option Prices;  Textbook: S. L. Gupta, 2005, Financial
Derivatives: Theory, Concepts and Problems; Book: Éric Jondeau, Ser-Huang Poon, Michael Rockinger, 2007, Financial Modeling under Non-Gaussian Distributions, Springer-Verlag: London, etc.]
 
22.   M. Chaudhury, 1994, Seasonal Variations in the U.S. Stock Market Returns: 1927-1984, Review of Quantitative Finance and Accounting 4(4), 321-337. [Citations include Applied Economics Letters]
 
23.   M. Chaudhury and I. Ng, 1992, Absenteeism Predictors: Least Squares, Rank Regression, and Model Selection Results, Canadian Journal of Economics 25(3), 615-635. 

[Well-Cited, Citations include Journal of Economic Surveys, Scandinavian Journal of Economics, Industrial and Labor Relations Review, Applied Economics, Quarterly Review of
Economics and Finance, Rita M. Choy and Lawson Savery,1998, Employee Plateauing: Some Workplace Attitudes, Journal of Management Development 17(6), 392-401, Robert A. Hart, 2004, The Economics of Overtime Working, Cambridge University Press, Catherine Marshall, 2006, On Sick Leave, Perspectives 6(4) (Published by Statistics Canada), Xuelin Zhang, 2007, Gender Differences in Quits and Absenteeism in Canada, Statistics Canada, John S. Heywood, Uwe Jirjahn and Xiangdong Wei, 2008, Team Work, Monitoring and Absence, Journal of Economic Behavior and Organization 68, 676-690, Carlos García-Serrano and Miguel A. Malo , 2009, The Impact of Union Direct Voice on Voluntary and Involuntary Absenteeism, Journal of Socio Economics 38, 372-383].
 
24.   M. Chaudhury and M. A. Miyan, 1990, Development of Capital Markets in Bangladesh, Journal of Business Administration 16(1,2), 70-90.
 
25.   M. Chaudhury, 1989, An Approximately Unbiased Estimator for the Theoretical Black-Scholes European Call Valuation, Bulletin of Economic Research 41(2), 137-146.
 
26.   M. Chaudhury, C. McKenzie and T. Ng, 1988, Canadian Money Market Seasonality, Finance 9(1), the Finance Division Proceedings of the Administrative Sciences Association of Canada 1988 Meetings held in Halifax, Nova Scotia.
 
27.   M. Chaudhury, 1987, The Striking Price Bias of the Black-Scholes Formula with an Estimated Variance Rate, Economics Letters 25(December), 359-362. 

[Citations include Insurance Mathematics and Economics]
 
28.   Choudhury, M. Chaudhury and S. Power, 1987, A New Approximate GLS Estimator for the Regression Model with MA(1) Disturbances, Bulletin of Economic Research 39(2), 171-177.
 
29.   M. Chaudhury, 1987, Testing Dividend-Induced Systematic Biases of Black-Scholes Call Pricing (Abstract), Financial Review 22(3), August, 1987, p.30.
 
B. WORKING PAPERS
 
1.       M. Chaudhury and P. Piccoli, 2024, Risk and Return of Meme Stocks, Working Paper.
 
2.       P. Picoli and M. Chaudhury, 2024, Bitcoin autocorrelation and investor attention, Working Paper.
 
3.       G. Capelle-Blancard and M. Chaudhury, 2006, Spider Options and the S&P 500 Index Options Market,
McGill University, Working Paper. https://papers.ssrn.com/sol3/Delivery.cfm?abstractid=960755
 
4.       G. Capelle-Blancard and M. Chaudhury, 2001, Efficiency Tests of the French Index (CAC 40) Options Market,
McGill University, Working Paper. https://papers.ssrn.com/sol3/Delivery.cfm?abstractid=283695
 
 [Also on EuroNext MONEP site, Europlace Institute of Finance site. Citations include  Publisher: Springer Berlin Heidelberg, 2005, Innovations in Classification, Data Science, and Information Systems (Warsaw); International Review of Financial Analysis (Italian MIB), Monetary and Economic Studies (Nikkei 225), Review of Finance (CAC 40), Goteborg
University Thesis (Swedish OMX); Rights offerings, trading, and regulation: a global perspective. (2013) by Vermaelen, Theo ; Massa, Massimo ; Xu, Moqi . In: LSE Research Online Documents on Economics.]
 
Cited by 47 papers: https://scholar.google.ca/scholar?oe=utf-8&gws_rd=cr&um=1&ie=UTF-8&lr&cites=38480657230243225
 
5.       M. Chaudhury and K. Ramagopal, 2001, Credibility, Public Debt and Foreign Exchange Intervention, McGill University, Working Paper. https://papers.ssrn.com/sol3/papers.cfm?abstract_id=283692
 
6.       M. Chaudhury and J. Wei, 1996, A Comparative Study of GARCH (1,1) and Black-Scholes Option PricesMcGill University, Working Paper. https://www.mcgill.ca/desautels/files/desautels/Gar96oct.pdf
[Citations include Journal of Derivatives] GAR96OCT.PDF (psu.edu)
 

C. NON-REFEREED PUBLICATIONS
 
1. M. Chaudhury, 2012, Is the Grameen Bank’s interest cost too high?, Financial Express, Bangladesh, August 28, 2012.
http://www.thefinancialexpress-bd.com/more.php?news_id=141336&date=2012-08-28
 
2. M. Chaudhury, 2012, The Grameen Bank's unique organisational form, Financial Express, Bangladesh, September 02, 2012. http://www.thefinancialexpress-bd.com/more.php?news_id=141943&date=2012-09-02
 
3. M. Chaudhury, 2012, How to establish clean governance, Financial Express, Bangladesh, September 08, 2012.
http://www.thefinancialexpress-bd.com/more.php?news_id=142652&date=2012-09-08 
 
4. M. Chaudhury, 2012, Bridge financing stalemate in retrospect, The Daily Star, Bangladesh, September 27, 2012.
http://www.thedailystar.net/newDesign/news-details.php?nid=251360
 
5. M. Chaudhury, 2012, How unholy is foreign aid?, The Daily Star, Bangladesh, October 02, 2012.
http://www.thedailystar.net/newDesign/news-details.php?nid=252022
 
6. M. Chaudhury, 2012, Reducing violence against minority, The Daily Star, Bangladesh, October 07, 2012.
http://www.thedailystar.net/newDesign/news-details.php?nid=252710
 
7. M. Chaudhury, 2012, Any end to political blame game?, The Daily Star, Bangladesh, October 14, 2012.
http://www.thedailystar.net/newDesign/news-details.php?nid=253659
 
8. M. Chaudhury, 2012, Rohingyas in Bangladesh, The Daily Star, Bangladesh, November 05, 2012.
http://www.thedailystar.net/newDesign/news-details.php?nid=256202
 
9. M. Chaudhury, 2012, Election alliances in Bangladesh, The Daily Star, Bangladesh, November 17, 2012.
http://www.thedailystar.net/newDesign/news-details.php?nid=257746
 
10. M. Chaudhury, 2012, Thoughts on factory fires, The Daily Star, Bangladesh, December 11, 2012.
http://www.thedailystar.net/newDesign/news-details.php?nid=260656
 
11. M. Chaudhury, 2012, Law enforcement in Bangladesh, bdnews24.com, Bangladesh, December 11, 2012.
http://opinion.bdnews24.com/2012/12/11/law-enforcement-in-bangladesh/
 
12. M. Chaudhury, 2012, Dynamics of violent activism, bdnews24.com, Bangladesh, December 17, 2012.
http://opinion.bdnews24.com/2012/12/17/dynamics-of-violent-activism/
 
13. M. Chaudhury, 2012, Binary mindset and intolerance, bdnews24.com, Bangladesh, December 29, 2012.
http://opinion.bdnews24.com/2012/12/29/binary-mindset-and-intolerance/
 
14. M. Chaudhury, 2013, Priorities at hand, The Daily Star, Bangladesh, January 08, 2013.
http://www.thedailystar.net/newDesign/news-details.php?nid=264241 
 
15. M. Chaudhury, 2013, Peace versus happiness, bdnews24.com, Bangladesh, January 24, 2013.
http://opinion.bdnews24.com/2013/01/24/peace-versus-happiness/
 
16. M. Chaudhury, 2013, Shahbag Moar and the Red-Green-Yellow Spirit, bdnews24.com, Bangladesh, February 10, 2013.
http://opinion.bdnews24.com/2013/02/10/shahbagh-moar-and-the-red-green-yellow-spirit/
 
17. M. Chaudhury, 2013, Pros and cons of Nuclear Power Plants, The Daily Star, Bangladesh, February 12, 2013.
http://www.thedailystar.net/newDesign/news-details.php?nid=268833
 
18. M. Chaudhury, 2013, Are nuclear power plants viable for Bangladesh?, The Daily Star, Bangladesh, February 23, 2013.
http://www.thedailystar.net/newDesign/news-details.php?nid=270094
 
19. M. Chaudhury, 2013, Price of electoral win, The Daily Star, Bangladesh, March 07, 2013.
http://www.thedailystar.net/beta2/news/price-of-electoral-win/
 
20. M. Chaudhury, 2013, Rationale for banning Jamaat-e-Islami, bdnews24.com, Bangladesh, March 20, 2013.
http://opinion.bdnews24.com/2013/03/20/rationale-for-banning-jamaat-e-islami/
 
21. M. Chaudhury, 2013, Wisdom of banning Jamaat-e-Islami, bdnews24.com, Bangladesh, March 25, 2013.
http://opinion.bdnews24.com/2013/03/25/wisdom-of-banning-jamaat-e-islami/
 
22. M. Chaudhury, 2013, Joy Bangla, Joy Bangladesh, bdnews24.com, Bangladesh, April 3, 2013.
http://opinion.bdnews24.com/2013/04/03/joy-bangla-joy-bangladesh/
 
23. M. Chaudhury, 2013, Betrayers of people’s interest, bdnews24.com, Bangladesh, April 29, 2013.
http://opinion.bdnews24.com/2013/04/29/betrayers-of-peoples-interest/
 
24. M. Chaudhury, 2013, Politics, religion and partisanship, The Daily Star, Bangladesh, May 10, 2013.
http://archive.thedailystar.net/beta2/news/politics-religion-and-partisanship/
 
25. M. Chaudhury, 2013, Web of crises, bdnews24.com, Bangladesh, July 24, 2013.
http://opinion.bdnews24.com/2013/07/24/web-of-crises/
 
26. M. Chaudhury, 2014, The Spirit of 1971, bdnews24.com, Bangladesh, January 16, 2014.
http://opinion.bdnews24.com/2014/01/16/the-spirit-of-1971/
 
27.  M. Chaudhury, 2014, A proposal, bdnews24.com, Bangladesh, January 27, 2014.
 http://opinion.bdnews24.com/2014/01/27/a-proposal/
 
28.  M. Chaudhury, 2014, External relations of Bangladesh, bdnews24.com, Bangladesh, March 06, 2014.
 http://opinion.bdnews24.com/2014/03/06/external-relations-of-bangladesh/
 
29.  M. Chaudhury, 2015, Jananetri and Deshnetri for all, bdnews24.com, Bangladesh, March 05, 2015
http://opinion.bdnews24.com/2015/03/05/jananetri-and-deshnetri-for-all/
 
30.  M. Chaudhury, 2015, Facing India with our loss, bdnews24.com, Bangladesh, March 21, 2015.
 http://opinion.bdnews24.com/2015/03/21/facing-india-with-our-loss/
 
31.  M. Chaudhury, 2015, Fixing a broken system, bdnews24.com, Bangladesh, May 07, 2015.
 http://opinion.bdnews24.com/2015/05/07/fixing-a-broken-system/
 
32.  M. Chaudhury, 2015, Economic performance : The basics, bdnews24.com, Bangladesh, August 05, 2015. http://opinion.bdnews24.com/2015/08/05/economic-performance-the-basics/
 
33.  M. Chaudhury, 2015, Economic performance : Evaluation, bdnews24.com, Bangladesh, August 18, 2015. http://opinion.bdnews24.com/2015/08/18/economic-performance-evaluation/
 
34.  M. Chaudhury, 2015, Conspiracy theory, bdnews24.com, Bangladesh, December 06, 2015.
http://opinion.bdnews24.com/2015/12/06/conspiracy-theory/
 
35.  M. Chaudhury, 2016, Unwanted Bangladesh Syndrome (UBS): Part I, bdnews24.com, Bangladesh, February 18, 2016.
http://opinion.bdnews24.com/2016/02/18/unwanted-bangladesh-syndrome-ubs-part-i/
 
36. M. Chaudhury, 2016, PM’s call for taking responsibility, The Daily Star, Bangladesh, February 25, 2016.
http://www.thedailystar.net/op-ed/politics/pms-call-taking-responsibility-660175
 
37.  M. Chaudhury, 2016, PM’s conspiracy allegation in parliament, bdnews24.com, Bangladesh, March 06, 2016.
http://opinion.bdnews24.com/2016/03/06/the-pms-conspiracy-allegation-in-parliament/
 
38. M. Chaudhury, 2016, Risk management, not unproductive public feuds, The Daily Star, Bangladesh, March 19, 2016.
http://www.thedailystar.net/op-ed/risk-management-not-unproductive-public-feuds-1196161
 
39.  M. Chaudhury, 2016, Unwanted Bangladesh Syndrome (UBS): Part II, bdnews24.com, Bangladesh, March 20, 2016.
http://opinion.bdnews24.com/2016/03/20/unwanted-bangladesh-syndrome-ubs-part-ii/
 
40. M. Chaudhury, 2016, Bangladesh Bank Governor’s resignation, bdnews24.com, Bangladesh, March 24, 2016.
http://opinion.bdnews24.com/2016/03/24/bangladesh-bank-governors-resignation/
 
41.  M. Chaudhury, 2016, History of Bangladesh: First Decade, The Daily Star, Bangladesh, April 02, 2016.
http://www.thedailystar.net/op-ed/politics/history-bangladesh-first-decade-1202908
 
42. M. Chaudhury, 2016, The politics of terrorism, The Daily Star, Bangladesh, July 26, 2016.
http://www.thedailystar.net/op-ed/the-politics-terrorism-1259275
 
43. M. Chaudhury, 2016, Arabization and Islamization, bdnews24.com, Bangladesh, August 25, 2016.
http://opinion.bdnews24.com/2016/08/25/arabization-and-islamization/
 
44. M. Chaudhury, 2017, What should we do with a sovereign wealth fund?, The Daily Star, Bangladesh, February 14, 2017.
http://www.thedailystar.net/op-ed/economics/what-should-we-do-sovereign-wealth-fund-1360615
 
45. M. Chaudhury, 2017, Maximum accountability should be the norm, The Daily Star, Bangladesh, February 27, 2017.
http://www.thedailystar.net/op-ed/politics/maximum-accountability-should-be-the-norm-1367689
 
46. M. Chaudhury, 2017, Undermining the welfare of children, The Daily Star, Bangladesh, March 03, 2017.
http://www.thedailystar.net/opinion/human-rights/undermining-the-welfare-children-1369828
 
47. M. Chaudhury, 2017, The Counterproductive Bank Deposit Tax, The Daily Star, Bangladesh, June 07, 2017.
http://www.thedailystar.net/op-ed/economics/the-counterproductive-bank-deposit-tax-1416424
 
48. M. Chaudhury, 2017, Forging a new Rohingya strategy, bdnews24.com, Bangladesh, September 18, 2017.
http://opinion.bdnews24.com/2017/09/18/forging-a-new-rohingya-strategy/
 
49. M. Chaudhury, 2017, The new Rohingya policy, bdnews24.com, Bangladesh, September 25, 2017.
https://opinion.bdnews24.com/2017/09/25/the-new-rohingya-policy/
 
50. M. Chaudhury, 2021, How to reconstitute the Election Commission, The Daily Star, Bangladesh, December 23, 2021.
How to reconstitute the Election Commission | The Daily Star
 
 
 
VI. EDUCATION
 
1981/86    Simon Fraser University, Burnaby, B.C., Canada     Ph.D. Economics (Finance)
Major: Finance, Minors: Econometrics and International Economics
Thesis: "On Testing the Black-Scholes Option Pricing Model", External: R. Whaley
1980/81    University of Waterloo, Waterloo, Ontario, Canada      M.A. Economics
1977/78    University of Dhaka, Dhaka, Bangladesh     M.A. Economics
1973/77    University of Dhaka, Dhaka, Bangladesh     B.A.Hons. Economics
 
VII. AWARDS AND SCHOLARSHIPS
 
1984           Simon Fraser University            Graduate Research Fellowship
1980/81    University of Waterloo               Graduate Scholarship   
 
 
VIII. OTHER ACTIVITIES
 
Professional
 
A. Professional: Reviewing/Refereeing
 
2024           March               2 manuscripts for FMA Asia Pacific Conference 2024 (Seoul, South Korea)
2023           May                   8 manuscripts for FMA Conference 2023 (Chicago, Illinois)
2023           March               4 manuscripts for the World Finance Conference, 2023 European Conference (Kristiansand, Norway)
2022           August              By invitation, reviewed the continuing status and promotion case of a faculty member at the University of Toronto
2022           July                    3 manuscripts for FMA Asia Pacific Conference 2022 (Melbourne, Australia)
2022           May                   8 manuscripts for FMA Conference 2020 (Atlanta, Georgia)
2020           February          7 manuscripts for FMA Conference 2020 (New York, New York)
2020           February          4 manuscripts for the World Finance Conference, 2020, Malta
2020           February          By invitation, reviewed a SSSHRC (Social Sciences and Humanities Research Council of Canada) Grants application
2020           January            8 manuscripts for FMA Asian Conference 2020 (Nanjing, China)
2019           February          8 manuscripts for FMA Conference 2019 (New Orleans, Louisiana)
2019           January            6 manuscripts for FMA Applied Finance Conference 2019 (New York, New York)
2019           January            8 manuscripts for FMA Asian Conference 2019 (Ho Chi Minh City, Vietnam)
2018           December       1 manuscript for the journal Administrative Sciences
2018           December       8 manuscripts for FMA European Conference 2019 (Glasgow, Scotland)
2108           December       1 manuscript for the journal China Finance Review International
2108           October           1 manuscript (two rounds) for the Journal of Derivatives
2018           October            By invitation, reviewed 1 Research Project Proposal from King Fahd University of Petroleum and Minerals, Saudi Arabia
2018           October           7 manuscripts for Southwestern Finance Association 2019 Meeting (Houston)
2018           October           1 revised (second pass) manuscript for the journal Empirical Economics
2018           September     By invitation, reviewed 1 Final Research Report from King Fahd University of Petroleum and Minerals, Saudi Arabia
2018           July                    1 manuscript for the journal Empirical Economics
2018           May                   2 manuscripts for the World Finance Conference, 2018 Banking and Finance Symposium (Taiwan)
2018           May                   1 manuscript for the journal Sustainability
2018           March/April    1 manuscript (two rounds) for the journal Risks
2018           March               8 manuscripts for FMA Conference 2018 (San Diego, USA)
2018           February          6 manuscripts for Asian Finance Association, 2018 Conference (Tokyo, Japan) 
2018           February          4 manuscripts for FMA Applied Finance Conference 2018 (New York, USA)
2018           January            By invitation, reviewed 1 Final Research Report from King Fahd University of Petroleum and Minerals, Saudi Arabia
2018           January            By invitation, reviewed a SSSHRC (Social Sciences and Humanities Research Council of Canada) Insight Grants application
2018           January            4 manuscripts for the World Finance Conference, 2018 European Conference (Mauritius, Italy)         
2017           December       8 manuscripts for FMA European Conference 2018 (Kristiansand, Norway)
2017           December       10 manuscripts for FMA Asia Pacific Conference 2018 (Hong Kong)
2017           March               1 manuscript for Expert Systems with Applications
2017           March               8 manuscripts for 2017 Financial Management Association Meeting (Boston, USA)
2017           January            4 manuscripts for the World Finance Conference, 2017 European Conference (Sardinia, Italy)
2016           December       7 manuscripts for 2017 Financial Management Association European Meeting (Lisbon, Portugal)
2016           December       4 manuscripts for 2017 Financial Management Association Asia-Pacific Meeting (Taipei, Taiwan)
2016           November      By invitation, reviewed 2 Research proposals from King Fahd University of Petroleum and Minerals, Saudi Arabia
2016           September     1 manuscript for Economics Letters
2016           June                  1 manuscript for the Journal of Investing
2016           June                  3 manuscripts for the World Finance Conference, 2016 Banking and Finance Symposium (Dubai)
2016           March               4 manuscripts for Asian Finance Association, 2016 Conference (Bangkok, Thailand) 
2016           February          4 manuscripts for Financial Management Association, 2016 FMA Meeting (Las Vegas) 
2016           February          5 manuscripts for 14th INFINITI Conference on International Finance, Trinity College Dublin, Ireland: 13-14 June 2016
2015           December       4 manuscripts for the World Finance Conference, 2016 Meeting (New York)
2015           September     By invitation, reviewed the promotion case of a faculty member at the University of Toronto
2015           March               6 manuscripts for Asian Finance Association, 2015 Meeting (Hunan, China) 
2015           February          7 manuscripts for Financial Management Association, 2015 FMA Meeting (Orlando) 
2014           December       7 manuscripts for the World Finance Conference, 2015 Meeting (Buenos Aires)
2014           December       4 manuscripts for Financial Management Association, European 2015 Meeting (Venice)
2014           August              1 manuscript for the European Journal of Finance
2013           December       4 manuscripts for Financial Management Association, Asian 2014 Meeting (Tokyo)
2013           December       4 manuscripts for Financial Management Association, European 2014 Meeting (Maasrtricht)
2013          April                   1 manuscript for the European Journal of Finance
2013          March               1 manuscript for the Journal of Financial Markets
2013           January            9 manuscripts for Financial Management Association, 2013 FMA Meeting (Chicago) 
2013           January            5 manuscripts for Financial Management Association, 2013 FMA European Meeting (Luxembourg) 
2012           December       6 manuscripts for Financial Management Association, 2013 Asian Meeting (Shanghai, China) 
2012           September     1 manuscript for the Journal of Financial Markets
2012           August              1 manuscript for the Intelligent Systems in Accounting, Finance and Management
2012           January            13 manuscripts for Financial Management Association, European 2012 Meeting (Istanbul)
2012           January            9 manuscripts for Financial Management Association, Asian 2012 Meeting (Pukhet)
2012           January            6 manuscripts for 2012 World Finance Conference (Rio de Janeiro)
2011           March               13 manuscripts Financial Management Association
2009           February          10 manuscripts Financial Management Association
2009           January            1 manuscript      Applied Financial Economics
2005           January            1 manuscript      International Journal of Theoretical and Applied Finance
2002                                       1 manuscript      Journal of International Money and Finance
2002          April                   By invitation, reviewed a curriculum proposal of the University College of Cariboo, BC
2001           July                    2 manuscripts    Asia Pacific Finance Association
1997           June                  1 manuscript      Journal of Futures Markets
                    June                  1 manuscript      Review of Quantitative Finance and Accounting
1996           April                   1 manuscript      International Review of Economics and Finance
                    March               1 manuscript      Journal of Futures Markets
1995           December       1 manuscript      Research in Finance
                    October           1 manuscript      Journal of Futures Markets (Second Pass)
                    March               1 manuscript      Journal of Futures Markets (First Pass)
1994           September     1 manuscript      Journal of Futures Markets         
                    August              1 manuscript      Review of Quantitative Finance and Accounting
1994           By invitation, did a comparative review of two finance texts for John Wiley & Sons.
1993           August              1 manuscript      Canadian Journal of Economics 
                    June                  1 manuscript      Review of Quantitative Finance and Accounting
                    February          1 manuscript      Canadian Journal of Economics
                    January            2 manuscripts    Finance Division, Administrative Sciences Association of Canada
                    January            1 manuscript      Canadian Journal of Administrative Sciences
1991               By invitation, reviewed the tenure case of a finance faculty member of the Faculty of Business Administration, St. Mary’s University, Halifax, Nova Scotia
 
B. Professional: Conference/Seminar/Workshop Participation
2022           Member, Program Committee, FMA Asia Pacific Conference 2022 in Melbourne, Australia
2022           Member, Program Committee, FMA Conference 2022 in Atlanta, Georgia
2020           Member, Program Committee, FMA Conference 2020 in New York, New York  
2019           Member, Program Committee, FMA Conference 2019 in New Orleans, Louisiana
2019           Member, Program Committee, FMA European Conference 2019 in Glasgow, Scotland
2018           Member, Program Committee, Southwestern Finance Association Meeting 2019, Houston, Texas
2017           Member, Program Committee, Southwest Finance Association Meeting 2018, Albuquerque, New Mexico
2017           Member, Program Committee, FMA European Conference 2018 in Kristiansand, Norway
2017           Member, Program Committee, FMA Asia Pacific Conference 2018 in Hong Kong
2015-2023            Member, Program Committee, World Finance Conference
2015           Presented paper to the 2015 Financial Management Association Meetings in Orlando, Florida
2014           Member, Program Committee, FMA Asian Conference 2015 in Seoul, South Korea
2014           Member, Program Committee, FMA European Conference 2015 in Venice, Italy
2013           Member, Program Committee, FMA Asian Conference 2014 in Tokyo, Japan.
2013           Member, Program Committee, FMA European Conference 2014 in Maastricht, The Netherlands
2013           Member, Program Committee, FMA Asian Conference 2013 in Shanghai, China.
2013           Member, Program Committee, FMA European Conference 2013 in Luxembourg.
2013           Presented paper to the 2013 Financial Management Association Meetings in Chicago, Illinois
2012           Member, Program Committee, FMA European Conference 2012 in Istanbul, Turley.
2012           Member, Program Committee, FMA Asian Conference 2012 in Phuket, Thailand.
2011           Presented paper to the 2011 Asia Pacific Association of Derivatives Meetings in Busan, South Korea.
2010           Presented paper to the 2010 Financial Management Association Meetings in New York, New York
2010          Member, Program Committee, 18th Annual (2010) Conference of Pacific Basin Finance, Economics, Accounting
                    and Management Association Meetings in Beijing, China
2009           Member, Program Committee, 17th Annual (2009) Conference of Pacific Basin Finance, Economics, Accounting and Management Association Meetings in Bangkok, Thailand
2009           Chaired a session and presented a paper at the 17th Annual Conference of Pacific Basin Finance, Economics, Accounting and Management Association Meetings in Bangkok, Thailand
2009           Member, Program Committee, 2009 Financial Management Association Meetings in Reno, Nevada
2009           Participated in the 2009 Market Risk Roundtable and Counterparty Risk Round Table of the Risk Management Association, New York City, New York, and presented a talk on Risk Education and Research
2008           Participated in the 2008 Market Risk Roundtable of the Risk Management Association, Toronto, Ontario.
2007           Participated in the 2007 Market Risk Roundtable of the Risk Management Association, Boca Raton, Florida.
2007           Attended the 2007 Financial Management Association Meeting, Orlando, Florida.
2006           Presented paper to the French Finance Association 2006 Meetings, Poitiers, France.
2004           Presented paper to the Asian Finance Association 2004 Meetings, Taipei, Taiwan.
2001          Attended the Financial Management Association 2001 Meetings, Toronto.
2001          Presented paper to the Asia Pacific Finance Association 2001 Meetings, Bangkok.
2001          Discussed paper at the Asia Pacific Finance Association 2001 Meetings, Bangkok.
1998          Attended the Pacific Basin Finance, Economics and Accounting Conference, Bangkok.
1999        Attended the American Finance Association 1999 Meetings in New York, New York.
1999          Attended the Canadian Economic Association 1999 Meetings in Toronto, Ontario.
1999          Attended the Canadian Centre for Management Development 1999 Conference, Ottawa
1999          Attended the Financial Management Association 1999 Meetings, Orlando, Florida
1999           Attended the CIRANO Intertemporal Asset Pricing Conference, Montreal, Quebec
1997           Attended the Southwest Finance Association 1997 Meetings in New Orleans, Louisiana.
1996           Discussant for a paper at the Financial Management Association 1996 Meetings held in New Orleans, Louisiana.
1996           Attended the American Finance Association 1996 Meetings held in San Francisco.
1994           Attended the European Finance Association 1994 Meetings held in Brussels, Belgium.
1993               Attended the Financial Management Association 1993 Meetings held in Toronto, Ontario.
1988           Discussant for a paper at the Administrative Sciences Association of Canada 1988 Meetings held in Halifax, Nova Scotia.
1987           Chairperson for a session at the Eastern Finance Association 1987 Meetings held in Baltimore, Maryland. Discussant for a paper.
1987          Discussant for a paper at the Administrative Sciences Association of Canada 1987 Meetings held in Toronto, Ontario.

C. Professional: Miscellaneous Professional Activities
 
2023       On July 11, 2023, I gave an Email Interview to M. Khaled, Sky News Arabia, Egypt
                Topic: How Market Pressures Affect the Asset Management Industry? https://www.snabusiness.com/article/1637041
                (17) Post | Feed | LinkedIn
2023       On March 16, 2023, I gave a Live TV Interview to TRT TV (24 Hour Global News in English), Istanbul, Turkey. Topic: March 2023 Banking Crisis in USA and Europe
https://www.trtworld.com/video/others/banks-seek-record-amounts-of-emergency-funds-from-federal-reserve/6414578a9d32a80017b05b35
2022       On August 25, 2022, I gave a telephone interview to: Stephen Magusiak, PressProgress (Award-Winning Non-Profit News Organization)Topic: The prospect for Canada’s Adoption of a Central Bank Digital Currency
https://pressprogress.ca/ucp-leadership-candidate-danielle-smith-warned-canadian-loonie-could-soon-be-replaced-by-a-global-currency/
2021       On January 27, 2021, I gave telephone interview to: Karim Benessaieh, La Presse
Topic: Abnormal Stock Price Behavior and Trading by Retail Investors Coordinating on Social Networks
                https://www.lapresse.ca/affaires/marches/2021-01-28/les-reseaux-sociaux-a-l-assaut-des-bourses.php
2020       Interviewed by Andrei Savenkov, Sputnik News Agency
                Topic: Systemic Risk in Global Banking
                Available on Sputnik News Wire (Subscription)
2019       Interviewed by Rick Morgan, Bank Innovation, a professional online media in banking.
                Topic: Prospects and risks of facial recognition technology in mortgage application
                https://bankinnovation.net/allposts/biz-lines/lending/united-trust-bank-is-using-selfies-for-identity-verification/
2019   Interviewed by Jean-Francois Codere, La Presse, a leading French media outlet in Canada.
Topic: Risks of significant increase in Index Investing
https://www.lapresse.ca/affaires/finances-personnelles/201909/07/01-5240296-les-fonds-indiciels-vont-ils-faire-capoter-les-marches.php
2018       Interviewed by Bryan Bowman, Reporter, The Globe Post, an international news publication based in Washington D.C. 
Topic: Ten years on from the 2008 Financial Crisis, is the global financial system safer than before?
https://theglobepost.com/2018/09/12/stocks-risk-crash/
2018       Interviewed by Philippe-Antoine Saulnier, Journaliste, Économie, Radio-Canada in Montreal. Topic: Brewing War
among Canadian Banks in the Variable Rate Mortgage Market. 
2017       Interviewed by Philippe Orfali, reporter économique, Journal de Montréal. Topic: Mortgage Securitization in Canada
and internal governance problems (like at Laurentian Bank, Home Capital Group) in underwriting of mortgage loans
and reporting on them to mortgage securitizers
2016       Interviewed by Kazi Alam Babu, Bangla Mail, Topic: Why Canadian Dollar is Falling?
2015      Interviewed by Ross Marowits, Canadian Press
Topic: Current State and Future Prospects of Montreal Real Estate Market
2015      Interviewed by Luis Fajardo, BBC Mundo, the Spanish language news website of the BBC World Service.
Topic: Potential impact on the Greek economy if the country leaves the Eurozone
2015         Interviewed by Mr. Julien Brault (Les Affaires), Topic: How online lending hubs (e.g., Lending Club) could impact the consumer/personal finance market
2013       Interviewed by Yan Barcelo (Finance and Investments), Topic: Why Risk is Managed So Vigorously These Days?
2013       Interviewed by Yan Barcelo (Finance and Investments), Topic: Can 2008/09 Type of Derivatives Related Debacle Happen Again?
2012       Interviewed by Yan Barcelo (Finance and Investments), Topic: The World of Derivatives: Present and Future
2011       Interviewed by Yan Barcelo (Finance and Investments), Topic: Will the Dodd-Frank (US) Financial Reform Bill Do the Job?
2010      Served as a member of the Judges Panel for the Desher Alo (Montreal Community Newspaper) 2010 Student of the Year Awards
2010       Interviewed by Yan Barcelo (Finance and Investments), Topic: Current Status and Future Dynamics of Global Banking
2010       Interviewed by Heather Loney (Canwest Broadcasting), Topic: Why Montrealers are Confident about Economic Outlook
2010       Interviewed by Jay Bryan (Montreal Gazette), Topic: The Impact of Greek Debt Crisis on Greece, other European Countries, and Canada                 http://www.montrealgazette.com/business/Debt+default+Greece+would+undermine+credibility+euro/2954618/story.html
2010      Interviewed by Maxim Bergeron (La Press), Topic: Potential Impact of Mortgage Rate Hike on Borrowers
2010       Interviewed by Maxim Bergeron (La Press), Topic: Potential Impact of New Mortgage Lending Rules on Bank Lending Practices
2010       Interviewed by Sheila McGovern (Montreal Gazette), Topic: Strong Housing Price Starts in Canada and the Prospects for a Housing Bubble
2009       Interviewed by Leonie Laflamme-Savoie, Finance et Investissement, Topic: Impact of the US Treasury Legacy Plan on the economy
2009       Interviewed by Jay Bryan (Montreal Gazette), and Rudy Lecours (La Presse), Topic: US Treasury Legacy Plan for toxic mortgage assets of the banks
2009       Interviewed by Yan Barcelo (Finance and Investments), Topic: Role of derivatives in the current banking crisis.
2009       Interviewed by Vincent Brousseau-Pouliot (La Presse) and by Elysia Bryan-Baynes (Global TV News), Topic: Effect of the lower bank rate on variable and fixed rate mortgages and the effect on real estate prices in Montreal
2009       Interviewed by Jay Bryan (Montreal Gazette), Berry McKenna (Globe and Mail,
                http://www.theglobeandmail.com/report-on-business/article9726.ece), and Rudy Lecours (La Presse), Topic: President Obama’s Housing Assistance Plan
2008       Interviewed by Yan Barcelo (Finance and Investments), Topic: Credit Derivatives
2007       Interviewed by Jacquie McNish and Kevin O'Leary (Report on Business TV, Canadian equivalent of CNBC) at about 5:40 PM, Friday, March 09, 2007, on the issue of option backdating and corporate governance in general in Canada.
2007         Interviewed by Sandra Janssen (CTV Newsnet, News Channel of CTV, a major TV network of Canada) on the resignation of Jim Balsillie as the Chairman of the Board of Directors of Research in Motion, the maker of Blackberry, following an internal review of the company’s stock option granting practice. Date of Interview: March 05, 2007, 7:35 PM.
2006       Interviewed by Bangla TV Program (Global TV, Montreal, Canada) on the subject of 2006 Nobel Peace Prize to Dr. M Yunus and Grameen  Bank; Date of Interview: October 17, 2006
2006       By invitation, presented a seminar “Bangladesh: The Glass if Half Full” to the 2006 FOBANA (Federation of Banglades Associations of North America) Meetings, Montreal, Canada; Date: September 06, 2006
1997       By invitation, served as a moderator at the 10th Annual Roundtable Business Conference held in Montreal.
1996-97    Attended the McGill doctoral seminar lectures of Professor Jerome Detemple on Continuous Time Finance (Derivatives and Asset Pricing). 
1992-2000 Listed as Visiting Faculty, International University of Business, Agriculture, and Technology, Dhaka, Bangladesh
1990’s   Offered lecture on finance basics to students of the Certified General Accountant (CGA) Program.

Teaching-Related
 
2021           Served as Finance Coach for the McGill Team at the ICBC Case Competition
2017-18    Serving as external co-supervisor of a doctoral student (Xi Zhang) from Beijing Institute of Technology, China. Xi is spent the academic year 2017-18 at Desautels as a Graduate Research Trainee
2015           Supervised 1 McGill MBA student’s Practicum study on Shadow Banking in China and Risk for Commodity Trading Desks in Canada 
2014           Served as external research supervisor of a doctoral student (Pedro Piccoli) from Brazil. Pedro spent the year 2014 at Desautels as a Graduate Research Trainee
2013           Supervised 1 McGill MBA Japan Student’s Practicum study on Dell Japan’s Corporate Real Estate Portfolio 
2011            Supervised 1 McGill MBA Student’s Practicum study on Structured Products
2010           Panel member, Sustainability and the Recession, Panel Discussion (Sep 27) sponsored by STOP, a McGill University Group
2009-10    Led the new finance curriculum (Certificate in Finance, Diploma in Finance, Graduate Certificate in Finance design for McGill Continuing Education.
2009-        Presented to the English CEGEP Open House at McGill
2008-09    Supervised 1 McGill MBA Student’s Practicum study on Exotic Derivatives
2007           Prepared and delivered a workshop on the topic of Financing for Small- and Medium-sized Enterprises. The workshop was team-taught with a Ukrainian instructor, Dr. Natalya Gusakova. The workshop was held in Ukraine on March 24-25, 2007, at the Odessa State Economic University. Also offered an extra lecture to the MBA class there
2007           Served as a Judge for the 2007 McGill Leadership Seminar Case Competition; March 2007
2006           Served as a Judge for the 2006 McGill Graduating Class (Finance) Case Competition; October 2006
2005-06    Supervised 1 McGill MBA Student’s Independent Study Course on Basel II Accord Implications
2005-06    Supervised 1 McGill MBA Student’s Independent Study Course on Futures Arbitrage in India
2005           Fall Semester, Guest lecturing in the McGill BCOM Course on Cases (Richard Donovan)
2001          Coach, McGill Commerce Game and ICBC Competition Finance Coach
2001           Guest lecturing in the McGill MBA Course on Mergers and Acquisitions (Don Wells)
2000-01    Research supervision of 1 McGill Executive Institute IMPM student.
1999-00    Research supervision of 6 McGill MBA Japan students.
1999-00    Offered an independent study class on Web Finance to an MBA student.
1999          Developed the Finance Curriculum for IMPM Program, The Executive Institute, McGill
1999          Coordinated the Finance Area activities and the Finance Forum of the McGill Module of the IMPM Program, The Executive Institute, McGill University.
1999          Offered a seminar on Corporate Restructuring to the participating executives of the IMPM Program, The Executive Institute, McGill University.
1999          Offered a lecture on basic finance review to the participating executives of the IMPM Program, The Executive Institute, McGill University.
1998           Offered a seminar on Valuation of Mergers and Acquisitions to the participating executives of the IMPM Program, The Executive Institute, McGill University.
1998           Offered finance tutorial to the participating executives of the IMPM Program, The Executive Institute, McGill University.
1996-99    Coached the McGill Finance team for the Commerce Games in Ottawa.
1995           Fall Semester, offered an MBA reading course on bond options at the Cox School of Business, Southern Methodist University, Dallas, Texas.
1995           Spring semester, offered half-course on Investments to M.Sc. class, U of Saskatchewan.
1995           August, participated in a teaching effectiveness workshop at Southern Methodist University, Dallas, Texas.
1995           Early summer, made a presentation on investment opportunities in Canada to the Malaysian students visiting with the U of Saskatchewan on an exchange program.
1994-95    Supervisor, thesis supervision committee of 1 finance M.Sc. student, U of Saskatchewan.
1994           Early summer, made a presentation on investment opportunities in Canada to the Malaysian students visiting with the U of Saskatchewan on an exchange program.
1994           May, participated in a teaching portfolio workshop, U of Saskatchewan.
1994           February, by invitation, reviewed a dissertation summary for the Administrative Sciences Association of Canada 1994 best Canadian Ph.D. dissertation award.
1993-94    Member, thesis supervision committee of 2 finance M.Sc. students, U of Saskatchewan.
1993           July, external examiner for an M.A. Economics thesis, U of Saskatchewan.
1990           External examiner for 1 finance Masters student at Xian Jiaotong University, China.
1989-90    Co-supervisor for 1 finance honours student, U of Saskatchewan.
1988-89    Supervisor for 1 finance honours student, U of Saskatchewan.
1987-88    Supervised 5 MBA research projects, co-supervisor for 1 finance honours student, and offered an MBA reading course on Seasonality in financial markets, U of Saskatchewan.
1986-87      Co-supervisor for 1 finance honours and advisor for 1 MBA student, U of Saskatchewan.
 
Administrative
2016-19    Member, Finance Committee, McGill Association of University Teachers (MAUT)
2016-Date Member, Undergraduate Program Committee, Desautels Faculty of Management, McGill University
2014-15   Member, Undergraduate Scholarship Committee, Desautels Faculty of Management, McGill University
2013        Attended the December 4-5, 2013 McGill Alumni and MBA Recruitment Event, The Design Exchange, Toronto
2008-11                Finance Case Competition Advisor, McGill University
2005-07 Member, Masters Programs Committee, Desautels Faculty of Management, McGill University
2004-07 Finance Case Competition Advisor, Desautels Faculty of Management, McGill University
2004-07 Undergraduate Finance Advisor, Desautels Faculty of Management, McGill University
2003-04 Leader, Real Estate Finance Curriculum Revision, Desautels Faculty of Management, McGill University
2003          Co-Leader, CFA Curriculum Integration into McGill MBA Finance
1998-00 Member, McGill Executive Institute
1999-02 Finance Coordinator, IMPM Program, McGill International Executive Institute
1998-02    BCOM Finance Advisor, McGill Faculty of Management
1999-02    Course Coordinator for BCOM and MBA Applied Corporate Finance, McGill
1997-98    Member, McGill Faculty of Management Master’s Programs Committee
1994-95    Member, College Undergraduate Curriculum Task Force, U of Saskatchewan
1993-95    Member, College Equity Committee, U of Saskatchewan.
1993-95    Member, College Teaching Effectiveness Committee, U of Saskatchewan
1989-91    Member, College Review Committee, College of Commerce
1992-93    University of Saskatchewan
1990-91    Chairman of the College Undergraduate Curriculum Committee, U of Saskatchewan
1987-90    Member, College Research Committee, College of Commerce, U of Saskatchewan
1987-90    Co-ordinated departmental seminar series [Department of Finance and Management Science,
                    College of Commerce, University of Saskatchewan]
1986-87    Member, College Library Committee, U of Saskatchewan
1986-87    1993-94            Departmental Representative to the U of Saskatchewan Faculty Association
 
International
1999                 Visited the Tokyo Stock Exchange and the Bank of Japan accompanied by a number of McGill MBA Japan students.
1998                 Visited the International University of Business, Agriculture and Technology (IUBAT), Bangladesh and presented a seminar
on: The Extreme Behavior of DSE Share Prices: Looking for Explanation(s)?
                    Visited the University of the Thai Chamber of Commerce, Bangkok, Thailand.
1997           Interviewed several firms and professionals in Bangladesh regarding the recent developments (sharp rise followed by sharp fall) in the Bangladesh capital markets. Explored the possibilities of setting up an institution to deliver basic investment education.
[In my 1990 paper (written in 1989), the need for such education was highly emphasized and unfortunately the lack of it seems to have been a key contributor to the sharp movements in stock prices].
1994           Visited the International University of Business, Agriculture, and Technology (IUBAT), Dhaka, Bangladesh. 
1992           Spent part of the 1991-1992 sabbatical leave with the School of Business, Rutgers University, New Jersey, U.S.A.
1991           Spent part of the 1991-1992 sabbatical leave with the Institute of Business Administration, University of Dhaka, Bangladesh. Attended the Curriculum Development Seminar on computer courses organized by the International University of Business,
Agriculture, and Technology (IUBAT), Dhaka. Participated as a commentator for the Lotus 1-2-3 session. Advised IUBAT with regards to the development of their undergraduate finance curriculum. Visited the University of Utara Malaysia, Malaysia,the National University of Singapore, Singapore, and Nanyang Technological University, Singapore.
1990           Taught managerial economics at Xian Jiaotong University, Xian, China under the Canada China Management Education Program.
1989           Visited a number of management schools, research agencies, financial institutions, and stock exchanges in Bangladesh, India, Thailand, and Singapore. Participated in the case writing skill development workshop of AMDISA (Association of Management Development Institutions in South Asia) held in Dhaka. Canadian Association of the Deans of Management Schools was a sponsor of this workshop.
 

 


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