Sudipto Sarkar

McMaster University - Finance & Business Economics

Associate Professor

School of Business

1280 Main St. W.

Hamilton, ON L8S 4M4

Canada

SCHOLARLY PAPERS

16

DOWNLOADS
Rank 15,441

SSRN RANKINGS

Top 15,441

in Total Papers Downloads

3,213

SSRN CITATIONS
Rank 11,497

SSRN RANKINGS

Top 11,497

in Total Papers Citations

3

CROSSREF CITATIONS

81

Scholarly Papers (16)

1.

Risk-Free Interest Rates, the Call Feature, and Corporate Bond Yield Spreads

Number of pages: 29 Posted: 24 Feb 2003
Sudipto Sarkar
McMaster University - Finance & Business Economics
Downloads 565 (49,210)

Abstract:

Loading...

Corporate bond, yield spread, interest rate

The Trade-Off Model with Mean Reverting Earnings: Theory and Empirical Tests

Number of pages: 34 Posted: 02 Mar 2000
Sudipto Sarkar
McMaster University - Finance & Business Economics
Downloads 502 (56,476)

Abstract:

Loading...

The Trade-Off Model with Mean Reverting Earnings: Theory and Empirical Tests

Economic Journal, Vol. 113, pp. 834-860, October 2003
Number of pages: 27 Posted: 09 Oct 2003
Sudipto Sarkar and Fernando Zapatero
McMaster University - Finance & Business Economics and Questrom School of Business, Boston University
Downloads 25 (524,459)
  • Add to Cart

Abstract:

Loading...

3.

Valuation of Tax Loss Carryforwards

CAAA Annual Conference 2012
Number of pages: 30 Posted: 13 Jan 2012
Sudipto Sarkar
McMaster University - Finance & Business Economics
Downloads 513 (55,543)
Citation 1

Abstract:

Loading...

Tax loss carry-forwards, Net operating losses, Valuation, Contingent-claim model

4.

Expansion Financing and Capital Structure

Number of pages: 46 Posted: 02 Mar 2007
Sudipto Sarkar
McMaster University - Finance & Business Economics
Downloads 451 (65,193)
Citation 3

Abstract:

Loading...

Real option, Expansion, Agency problems, Under-investment, Over-investment

5.

Banks' Option to Lend, Interest Rate Sensitivity, and Credit Availability

Bank of Finland Discussion Paper No. 15/2002
Number of pages: 58 Posted: 04 Dec 2002
Sudipto Sarkar and Iftekhar Hasan
McMaster University - Finance & Business Economics and Fordham University - Gabelli School of Business
Downloads 410 (73,230)
Citation 14

Abstract:

Loading...

interest rate risk, option to lend, bank's lending capacity, maturity intermediation

6.

Optimal Harvesting of a Renewable Resource: A Mathematical Model

OIDA International Journal of Sustainable Development, Vol. 7, No. 5, pp. 11-18, 2014
Number of pages: 8 Posted: 15 Sep 2014
Sudipto Sarkar
McMaster University - Finance & Business Economics
Downloads 343 (89,910)

Abstract:

Loading...

Renewable resource; Harvesting; Optimal policy; Mathematical model

7.

Setting the Optimal Make-Whole Premium

Applied Financial Economics, Forthcoming
Number of pages: 31 Posted: 08 Sep 2012
Eric A. Powers and Sudipto Sarkar
University of South Carolina - Darla Moore School of Business and McMaster University - Finance & Business Economics
Downloads 120 (240,543)

Abstract:

Loading...

8.
Downloads 93 (286,889)
Citation 2

Empirical Evidence on Corporate Risk-Shifting

The Financial Review, Forthcoming
Number of pages: 30 Posted: 08 Mar 2013
Anna N. Danielova, Sudipto Sarkar and Gwangheon Hong
McMaster University - Finance & Business Economics, McMaster University - Finance & Business Economics and Sogang University
Downloads 92 (291,032)

Abstract:

Loading...

Corporate Finance, Risk shifting, Asset substitution

Empirical Evidence on Corporate Risk‐Shifting

Financial Review, Vol. 48, Issue 3, pp. 443-460, 2013
Number of pages: 18 Posted: 06 Jul 2013
Anna N. Danielova, Sudipto Sarkar and Gwangheon Hong
McMaster University - Finance & Business Economics, McMaster University - Finance & Business Economics and Sogang University
Downloads 1 (704,206)
  • Add to Cart

Abstract:

Loading...

corporate finance, risk‐shifting, asset substitution

Bond Portfolio Laddering: A Mean-Variance Perspective

Journal of Applied Finance (Formerly Financial Practice and Education), Vol. 20, No. 1, 2010
Number of pages: 7 Posted: 04 Dec 2015
McMaster University, McMaster University and McMaster University - Finance & Business Economics
Downloads 75 (330,309)
Citation 1

Abstract:

Loading...

Bond Portfolio Laddering: A Mean-Variance Perspective

Journal of Applied Finance, 2010, Vol. 20, Issue 1, pp. 103-109
Posted: 29 Jul 2012
McMaster University, McMaster University and McMaster University - Finance & Business Economics

Abstract:

Loading...

Maturity (Finance), Bonds (Finance), Asset Allocation, Portfolio Management, Investment Policy, Investments

10.

Market Effects of SEC Regulation of Short-Term Borrowing Disclosure

Number of pages: 52 Posted: 19 Jan 2015
McMaster University - Finance & Business Economics, Saint Mary's University, Canada - Department of Finance, Information Systems & Management Science and McMaster University - Finance & Business Economics
Downloads 47 (410,960)

Abstract:

Loading...

Information and Market Efficiency: Event Studies, Government Policy and Regulation, Financial Risk and Risk Management, Corporate Governance, Corporation and Securities Law

11.

The Effect of Leverage on the Tax-Cut Versus Investment-Subsidy Argument

Review of Financial Economics, Vol. 20, 2011
Number of pages: 23 Posted: 27 Feb 2013
Anna N. Danielova and Sudipto Sarkar
McMaster University - Finance & Business Economics and McMaster University - Finance & Business Economics
Downloads 40 (437,853)
Citation 1

Abstract:

Loading...

investment incentive, tax reduction, investment subsidy, real option

12.

Optimal Dividend Policy with Mean-Reverting Cash Reservoir

Mathematical Finance, Vol. 17, No. 1, pp. 81-109, January 2007
Number of pages: 29 Posted: 13 Dec 2006
Abel Cadenillas, Fernando Zapatero and Sudipto Sarkar
University of Alberta - Department of Mathematical and Statistical Sciences, Questrom School of Business, Boston University and McMaster University - Finance & Business Economics
Downloads 24 (514,684)
Citation 1
  • Add to Cart

Abstract:

Loading...

13.

Optimal Expansion Financing and Prior Financial Structure

International Review of Finance, Vol. 11, No. 1, pp. 57-86, 2011
Number of pages: 30 Posted: 09 Mar 2011
Sudipto Sarkar
McMaster University - Finance & Business Economics
Downloads 5 (634,765)
  • Add to Cart

Abstract:

Loading...

14.

Accruals and Real Earnings Management: Testing the Debt Covenant Hypothesis

Posted: 24 Nov 2014
Umar Butt, Trevor W. Chamberlain and Sudipto Sarkar
Zayed University, McMaster University - Finance & Business Economics and McMaster University - Finance & Business Economics

Abstract:

Loading...

Debt covenant violation, Accruals manipulation, Real earnings management

15.

Illiquidity Risk, Project Characteristics, and the Optimal Maturity of Corporate Debt

The Journal of Financial Research
Posted: 26 Apr 1999
Sudipto Sarkar
McMaster University - Finance & Business Economics

Abstract:

Loading...

16.

Project Characteristics, Insolvency Risk, and Optimal Debt Maturity

Posted: 05 Jul 1998
Sudipto Sarkar
McMaster University - Finance & Business Economics

Abstract:

Loading...