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Kishore Tandon
    

Kishore Tandon

Adjunct Associate Professor of Finance

Leonard N. Stern School of Business
Kaufman Management Center
44 West 4th Street, 9-150
New York, NY 10012
Phone number: (212) 998-0300
Email: ktandon@stern.nyu.edu
Teaches Research Interests
  • Topics in International Finance
  • International Financial Management
  • International Capital & Financial Markets
  • Emerging Capital Markets
  • Private Sector Development & Privatization
  • Global Derivative Markets

Academic Background
Ph.D., 1981, Financial Economics, University of Pittsburgh
M.S., 1976, Economics, University of Manitoba, Canada
M.A., 1973, Economics, University of Rajasthan, India
B.S., 1971, Physics (with Honors), University of Rajasthan, India

Business Experience
  • Executive Training Program Coordinator & Consultant, Corporate Governance and Investment Banking, SEC India, November 2002. (Funded by USAID and IBM Business Consulting)
  • Executive Training Program Coordinator & Consultant, Capital Markets and Investment Banking, GF Securities China, April 2002
  • Executive Training Program Coordinator & Consultant, Korean Asset Management Company, Deposit Insurance Corporation/ Deloitte Touche Tomatsu/ Asian Development Bank, Mergers and Acquisitions in Korea, 2001
  • Executive Training Program Coordinator & Consultant, Korea Deposit Insurance Corporation/ Deloitte Touche Tomatsu/ Asian Development Bank, Banking Reforms in Korea, September 2001
  • Executive Training Program Coordinator & Consultant, China Development Bank, 1998

Publications
  • "The Volume Implications of AMEX and NYSE Firms Listing on NASDAQ". Co-author: Professor Gwendolyn Webb. Financial Review, March 2001, 21-44.
  • "External Financing in Emerging Markets". In Levich (edited): The Future of Emerging Market Capital Flows. Kluwer Publishers, 1998
  • "External Financing in Emerging Markets: An Analysis of Market Responses". Emerging Markets Quarterly, Vol. 1, No. 2, Summer 1997, 63-73
  • "The Impact of the Listing of Options in Foreign Exchange Markets: A Bivariate GARCH Approach". Co-authors: Professor K. Shastri (Pittsburgh) and J. Sultan (Bentley). Journal of International Money and Finance, Vol. 15, No. 1, February 1996, 37-64
  • "Foreign Acquisitions in the United States: Effect on Shareholder Wealth of Foreign Acquiring Firms". Co-authors: Professor N. Cakici (Rutgers) and Chris Hessel (Baruch College,CUNY). Journal of Banking and Finance, Vol. 20, No.2, 1996, 307-329