School of BusinessFaculty and Research

Nanda Rangan
Associate Dean for International and Strategic Initiatives
Professor
Area: Finance Insurance and Real Estate

Snead Hall
301 W. Main Street
PO Box 844000
Richmond, VA, 23284-4000
Office: B4101
Phone: (804) 827-7410
Fax: (804) 828-8884
Email: nkrangan@vcu.edu

Education
PhD, Texas A&M Univ College Sta*, 1986.
Research
Published Intellectual Contributions
Journal Article
Rangan, N. K., Liu, M. (in press). Do Chinese Retail Option Traders Know Anything about Market Volatility?. Frontiers of Business Research in China,.
Gupta, M., Prakash, P., Rangan, N. K., (in press). Determinants of underwriting spreads internationally: Evidence from SEOs . Journal of Multinational Financial Management .
Gupta, M., Prakash, P., Rangan, N. K. (2013). Equity issue-specific versus broad regulatory protections against expropriation risk: International evidence from SEOs. (vol. 35, pp.146-166). Journal of International Money and Finance.
Gupta, M., Prakash, P., Rangan, N. K. (2012). Governance and Shareholder Response to Chief Risk Officer Appointments. (vol. 37, pp.108-124). The Geneva Papers on Risk and Insurance Issues and Practice. DOI: 10.1057/gpp.2011.30
Wood, V. R., Rangan, N. K., Gopalakrishna, P. (2012). Higher Education in the Middle East and India: Overview and Two Programs Created to Educate Global Business Leaders in Emerging Markets. (vol. 11 (1), pp.143-159). Chinese Business Review.
Narayanan, R. P., Rangan, K. P., Rangan, N. K. (2007). The Effect of Private-Debt-Underwriting Reputation on Bank Public-Debt Underwriting. (3 ed., vol. 20, pp.597-618). Review of Financial Studies. DOI: 10.1093/rfs/hhl016
Narayanan, R. P., Rangan, K. P., Rangan, N. K. (2004). The role of syndicate structure in bank underwriting. (3 ed., vol. 72, pp.555-580). Journal of Financial Economics. DOI: 10.1016/s0304-405x(03)00187-9
Subrahmanyam, V., Rangan, N. K., Rosenstein, S. (1997). The Role of outside Directors in Bank Acquisitions. (3 ed., vol. 26, pp.23). Financial Management. DOI: 10.2307/3666211
Davidson, W. N., Rangan, N. K., Rosenstein, S. (1997). Regulation and Systematic Risk in the Electric Utility Industry: A Test of the Buffering Hypothesis. (1 ed., vol. 32, pp.163-184). The Financial Review. DOI: 10.1111/j.1540-6288.1997.tb00420.x
Mahajan, A., Rangan, N. K., Zardkoohi, A. (1996). Cost structures in multinational and domestic banking. (2 ed., vol. 20, pp.283-306). Journal of Banking & Finance. DOI: 10.1016/0378-4266(94)00129-4
Cornett, M. M., Davidson, W. N., Rangan, N. K. (1996). Deregulation in investment banking: Industry concentration following Rule 415. (1 ed., vol. 20, pp.85-113). Journal of Banking & Finance. DOI: 10.1016/0378-4266(94)00110-3
Grabowski, R., Rangan, N. K., Rezvanian, R. (1993). Organizational forms in banking: An empirical investigation of cost efficiency. (2-3 ed., vol. 17, pp.531-538). Journal of Banking & Finance. DOI: 10.1016/0378-4266(93)90051-e
Sundaram, S., Rangan, N. K., Davidson, W. N. (1992). The market valuation effects of the Financial Institutions Reform, Recovery and Enforcement Act of 1989. (6 ed., vol. 16, pp.1097-1122). Journal of Banking & Finance. DOI: 10.1016/0378-4266(92)90061-4
Lee, C. I., Rosenstein, S., Rangan, N. K., III, W. N. (1992). Board Composition and Shareholder Wealth: The Case of Management Buyouts. (1 ed., vol. 21, pp.58). Financial Management. DOI: 10.2307/3665681
Aly, H. Y., Grabowski, R., Pasurka, C., Rangan, N. K. (1990). Technical, Scale, and Allocative Efficiencies in U.S. Banking: An Empirical Investigation. (2 ed., vol. 72, pp.211). The Review of Economics and Statistics. DOI: 10.2307/2109710
Eyssell, T. H., Fraser, D. R., Rangan, N. K. (1989). Debt-equity swaps, regulation K, and bank stock returns. (6 ed., vol. 13, pp.853-868). Journal of Banking & Finance. DOI: 10.1016/0378-4266(89)90006-x
ZARDKOOHI, A., Rangan, N. K., KOLARI, J. (1986). Homogeneity Restrictions on the Translog Cost Model: A Note. (5 ed., vol. 41, pp.1153-1155). The Journal of Finance. DOI: 10.1111/j.1540-6261.1986.tb02538.x