Richard Rogalski
George J. Records Professor of Investments at Tuck School of Business at Dartmouth
Schools
- Tuck School of Business at Dartmouth
Links
Biography
Tuck School of Business at Dartmouth
Current Research Topics
- Hedge funds
- Mutual funds
- IPOs
Professional Activities
Academic positions
- Tuck School of Business, 1976–present
- Visiting Associate Professor, Graduate School of Management, University of California, Los Angeles, 1982; Visiting Assistant Professor, University of Michigan, 1975–76
- Assistant Professor, Columbia University, 1974–75
Nonacademic positions
- Chief Investment Officer, Kidder Peabody Asset Management, 1993–94
- Director, Head of Financial Strategies Group, Merrill Lynch Capital Markets, 1990–91
- Vice President, Head of New Products Group, Morgan Stanley & Co., Inc., 1985–87
Board memberships
- Boards of directors: Dillon Read Capital Management, 2006–present, MidFirst Bank, 1992–present
- Kidder Peabody Asset Management, 1993–95
Editorial positions
- Editorial Advisory Board, Journal of Investing, 1987–93
- Associate Editor, International Journal of Finance Education, Journal of Corporate Finance, 1987–89, Financial Management, 1979–81
Awards
- Runner-up, Most Significant Paper, Journal of Financial Intermediation, 1998
- Outstanding Faculty, BusinessWeek Guide to the Best Business Schools, 1997
- Best Dissertation Award, American Institute of Decision Science Thesis Competition, 1995
Selected Publications
- "Industry Conditions, Growth Opportunities, and Market Reactions to Convertible Debt Financing Decisions," Journal of Banking and Finance, January 2003
- "What’s Special About the Role of Underwriter Reputation and Market Activities in IPOs?" Journal of Business, April 2002
- "The Long-Run Performance of Firms That Issue Convertible Debt: An Empirical Analysis of Operating Characteristics and Analysts’ Forecasts," Journal of Corporate Finance, December 2001
- "Is Convertible Debt a Substitute for Straight Debt or for Common Equity?" Financial Management, Autumn 1999
- "Understanding the Design of Convertible Debt," Journal of Applied Corporate Finance, Spring 1998
- "Agency Problems, Information Asymmetries, and Convertible Debt Security Design," Journal of Financial Intermediation, January 1998
- "New Findings Regarding Day of Week Returns over Trading and Non-Trading Periods," Journal of Finance, December 1984
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