Sumit Agarwal
 |
Adjunct |
| Department of Finance |
1 E. Jackson Blvd.
DePaul Center 7100
Chicago, IL 60604 |
| (312) 362-6783 |
| ushakri@yahoo.com |
Academic Degrees
Ph.D. University of Wisconsin - Milwaukee, Milwaukee, WI, USA, Economics, 1999
M.A. University of Wisconsin - Milwaukee, Milwaukee, WI, USA, Economics, 1995
B.Sc. University of Wisconsin - Milwaukee, Milwaukee, WI, USA, Computer Science, 1993
Selected Publications
Article
Agarwal, S., Liu, C., Rhee, G. (2007). Where Does Price Discovery Occur for Stocks Traded in Multiple Markets? Evidence from Hong Kong and London. Journal of International Money and Finance, 26 (), 46-63.
Agarwal, S. (2007). The Impact of Homeowners' Housing Wealth Misestimation on Consumption and Saving Decisions. Real Estate Economics, 35 (2), 135-154.
Agarwal, S., Ambrose, B., Chomsisengphet, S., Liu, C. (2006). An Empirical Analysis of Home equity Loan and Line Performance. Journal of Financial Intermediation, 15 (4), 444-469.
Agarwal, S., Ambrose, B., Liu, C. (2006). Credit Quality and Credit Commitment. Journal of Money, Credit & Banking, 38 (1), 1-22.
Agarwal, S., Chomsisengphet, S., Hassler, O. (2005). The Impact of the 2001 Financial Crisis and the Economic Policy Responses on the Argentine Mortgage Market. Journal of Housing Economics, 14 (3), 242-270.
Book or Chapter in Book
Agarwal, S., Ambrose, B., Chomsisengphet, S. (2007). Household Credit Usage: Personal Debt and Mortgages. : Palgrave-Macmillan Publishing. Chapter: Information Asymmetry and the Automobile Loan Market.
Agarwal, S., Chomsisengphet, S., Liu, C. (2007). The Analytics of Risk Model Validation. : Butterworth and Heinemann Publishing. Chapter: Determinants of Small Business Default.
Agarwal, S. (2002). Economic Institutions in India: Sustainability Under Liberalization and Globalization. : Palgrave-Macmillan Publishing. Chapter: Liberalization of Equity Markets, Capital Structure and Growth: Progress, Lessons and Challenges in Dev
Non-Academic Experience
Financial Economist, Federal Reserve Bank of Chicago (2006 - Now).
SVP Credit Risk, Bank of America (2004 - 2006).
VP Financial Economist, Bank of America (2000 - 2004).