|
Research Notes: Xuhui Pan
Xuhui “Nick” Pan’s paper “Oil Volatility Risk and Expected Stock Returns,” co-authored with Peter Christoffersen of the University of Toronto, has been accepted for publication in the Journal of Banking and Finance. Pan is an assistant professor of finance at Tulane University’s A. B. Freeman School of Business.
Interested in advancing your education and/or career? Learn more about Freeman’s wide range of graduate and undergraduate programs. Find the right program for you.
Recommended Reading
- How to Get Started in Sustainable Finance
- What Does It Take to Work in Government Accounting?
- Finance Curriculum vs. Accounting Curriculum: How Are They Different?
- Business Analytics vs. Finance: Which Master’s Degree Is Right for You?
- What Degree Do You Need to Work in a Bank?
- Finance Manager: Salary, Job Description, and Requirements
- 4 Master’s in Finance Careers
Other Related Articles
- CNET: Anthropic Eyes an IPO as Big Tech's AI Cash Crunch Comes for Wall Street
- The New York Times: How an Ambitious Energy Giant Wielded Political Power in Florida
- Freeman partners with DCOR to launch executive leadership program in energy
- What crowdfunding reveals about equity appeals
- Research Notes: Larisa Cioaca
- Beta Gamma Sigma recognizes newest members
- Seattle Times: Microsoft offers buyouts for longtime employees
- Forbes: How To Gain Influence In Meetings Through Executive Presence