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Vihang R Errunza

McGill University · Business
Corporate Governance Risk Management Credit Risk Currency Risk Liquidity & Barriers to Cross-Border Investments Global Asset Allocation International Asset Pricing Market Integration Versus Segmentation

About
Regular biography

Vihang R Errunza is a Professor of Finance at McGill University's Desautels Faculty of Management. His research focuses on Corporate Governance, Credit Risk, Currency Risk, Liquidity & Barriers to Cross-Border Investments, Global Asset Allocation, International Asset Pricing, Market Integration Versus Segmentation, Risk Management, Valuation & Portfolio Management in Emerging Markets. He has contributed to the creation of the Emerging Markets Data Base at the International Finance Corporation (IFC-World Bank Group) and has published extensively in peer-reviewed journals. Prof. Errunza has supervised numerous Ph.D. students and has been involved in academic and professional activities globally.


Scholar profile summary
Scholar-generated biography

Vihang Errunza is a finance scholar at McGill University with a focus on Finance and International. His research explores international asset pricing, market integration, and the effects of international operations on firm value. Errunza investigates the role of market segmentation, capital flows, and financial liberalization in shaping global equity markets. His work also examines the benefits of international diversification, the impact of emerging markets on portfolio performance, and the influence of macroeconomic factors on stock market volatility. Through empirical and theoretical analyses, he contributes to understanding the dynamics of global financial markets and the implications of globalization.

Source: google_scholar · 97 words
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