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
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Top 14,945

in Total Papers Downloads

3,159

CITATIONS
Rank 13,609

SSRN RANKINGS

Top 13,609

in Total Papers Citations

38

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 563 (47,089)

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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 497 (54,414)

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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 University of Southern California - Marshall School of Business
Downloads 25 (501,835)
Citation 22
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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 503 (54,240)
Citation 2

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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 448 (62,702)
Citation 3

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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 407 (70,673)
Citation 16

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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 323 (91,842)

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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 117 (234,676)

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8.
Downloads 92 (276,531)
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 91 (280,655)

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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 (675,851)
Citation 2
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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 70 (329,114)
Citation 2

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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

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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 45 (400,832)

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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 (419,271)
Citation 4

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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, University of Southern California - Marshall School of Business and McMaster University - Finance & Business Economics
Downloads 24 (492,705)
Citation 13
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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 (606,495)
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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

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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

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16.

Project Characteristics, Insolvency Risk, and Optimal Debt Maturity

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

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