selected publications academic article Mendiratta, A., Singh, S., Yadav, S. S., & Mahajan, A. (2024). The impact of corporate social irresponsibility media coverage on firm performance. Journal of Advances in Management Research. 21(1), 1-19. Mendiratta, A., Singh, S., Yadav, S. S., & Mahajan, A. (2023). Bibliometric and Topic Modeling Analysis of Corporate Social Irresponsibility. Global Journal of Flexible Systems Management. 24(3), 319-339. Chen, Y., Mallipeddi, R., Akturk, M. S., & Mahajan, A. (2023). Assessing the Impact of ESG Violations on Brand-Level Sales Anita, M., Shveta, S., Yadav Surendra, S., & Mahajan, A. (2023). When do ESG controversies reduce firm value in India?. Global Finance Journal. 55, 97-119. Mendiratta, A., Singh, S., Yadav, S. S., & Mahajan, A. (2023). ESG Controversies and Firm Performance in India: The Moderating Impact of Government Effectiveness. Global Business Review. 097215092311514-097215092311514. Jia, X., Mallipeddi, R., & Mahajan, A. (2023). The Impact of Board Member Gender Diversity on Supply Network Structure Mahajan, A. (2018). Information content of web-based stock ratings: the case of Motley fool CAPS data. Journal of Advances in Management Research. 15(3), 393-410. Wang, G., Mahajan, A., & Kishan, R. P. (2013). Bank asset allocation: the effectiveness of market monitoring. 10(3), 376-398. Mahajan, A., Petkevich, A., & Petkova, R. (2012). Momentum and Aggregate Default Risk Kim, H., Mahajan, A., & Petkevich, A. (2012). Sources of Momentum in Bonds Chen, N., & Mahajan, A. (2010). The euro and corporate liquidity. International Research Journal of Finance and Economics. 36(1), 133-146. Chen, N., & Mahajan, A. (2010). Effects of macroeconomic conditions on corporate liquidity-international evidence. International Research Journal of Finance and Economics. 35, 112-129. Chen, N., & Mahajan, A. (2010). Maastricht treaty, euro and purchasing power parity. International Research Journal of Finance and Economics. 35, 61-81. Mahajan, A., & Tartaroglu, S. (2008). Equity market timing and capital structure: International evidence. Journal of Banking and Finance. 32(5), 754-766. Cheng, H. F., Gutierrez, M., Mahajan, A., Shachmurove, Y., & Shahrokhi, M. (2007). A future global economy to be built by BRICs. Global Finance Journal. 18(2), 143-156. Her, M. M., & Mahajan, A. (2005). Family Control, Two-Tier Boards and Firm Performance: Lessons from the Taiwanese Experience. Journal of Asia Pacific Business. 6(2), 69-89. Gorman, L. R., Mahajan, A., & Weigand, R. A. (2004). The ex-dividend day behavior of American depository receipts. Journal of Multinational Financial Management. 14(1), 1-18. Mahajan, A., & Wagner, A. J. (1999). Nonlinear dynamics in foreign exchange rates. Global Finance Journal. 10(1), 1-23. Biswas, R., Fraser, D. R., & Mahajan, A. (1997). The international market for corporate control: Evidence from acquisitions of financial firms. Global Finance Journal. 8(1), 33-54. Mahajan, A., Rangan, N., & Zardkoohi, A. (1996). Cost structures in multinational and domestic banking. Journal of Banking and Finance. 20(2), 283-306. Mahajan, A., & Furtado, E. (1996). Exchange rate regimes and international market segmentation: Evidence from pricing effects of international listings. Global Finance Journal. 7(2), 153-168. Abeysekera, S. P., & Mahajan, A. (1994). Arbitrage Pricing Theory and Asset Pricing in Three Industrialized Countries. Indian Economic Journal. 42(2), 87-109. Mahajan, A., & Lummer, S. (1993). SHAREHOLDER WEALTH EFFECTS OF MANAGEMENT CHANGES. Journal of Business Finance & Accounting. 20(3), 393-410. Mahajan, A. (1993). ON FORECASTABILITY OF FOREIGN EXCHANGE SWAP RATES. Indian Economic Journal. 40(3), 31. MAHAJAN, A. (1992). INTERNATIONAL FINANCIAL-MARKETS - TUCKER,AL, MADURA,J, CHIANG,TC. The Journal of Finance. 47(4), 1651-1655. Mahajan, A. (1991). A general equilibrium pricing model with speculation, quantity risk, price risk and foreign exchange risk. North American Review of Economics and Finance. 2(1), 49-68. Mahajan, A., & Mehta, D. R. (1991). EXCHANGE RATE EXPOSURE MANAGEMENT AND EFFICIENCY OF THE MARKETS: INSIGHTS AND IMPLICATIONS. Managerial Finance. Volume 17(Issue 5), 36-44. MAHAJAN, A., DUBOFSKY, D., & FRASER, D. (1991). VALUATION EFFECTS OF THE INTERNATIONAL BANKING ACT ON FOREIGN BANKS OPERATING IN THE UNITED-STATES. Journal of Money, Credit and Banking. 23(1), 110-119. ABEYSEKERA, S. P., & MAHAJAN, A. (1990). INTERNATIONAL ARBITRAGE PRICING THEORY - AN EMPIRICAL-INVESTIGATION. SOUTHERN ECONOMIC JOURNAL. 56(3), 760-773. MAHAJAN, A. (1990). PRICING EXPROPRIATION RISK. 19(4), 77-86. SAUNDERS, E. M., & MAHAJAN, A. (1988). AN EMPIRICAL-EXAMINATION OF COMPOSITE STOCK INDEX FUTURES PRICING. Journal of Futures Markets. 8(2), 211-228. KOLARI, J., MAHAJAN, A., & SAUNDERS, E. M. (1988). The effect of changes in reserve requirements on bank stock prices. Journal of Banking and Finance. 12(2), 183-198. Abeysekera, S. P., & Mahajan, A. (1987). A Test of the Apt In Pricing Uk Stocks. Journal of Business Finance & Accounting. 14(3), 377-391. MAHAJAN, A., & FRASER, D. R. (1986). DOLLAR EUROBOND AND UNITED-STATES BOND PRICING. JOURNAL OF INTERNATIONAL BUSINESS STUDIES. 17(2), 21-36. Mahajan, A., & Fraser, D. R. (1986). Dollar Eurobond and U.S. Bond Pricing. JOURNAL OF INTERNATIONAL BUSINESS STUDIES. 17(2), 21-36. MAHAJAN, A., & MEHTA, D. (1986). Swaps, expectations, and exchange rates. Journal of Banking and Finance. 10(1), 7-20. Mahajan, A., & Rose, P. S. (1985). Analysis of Canadian and Mexican banking strategies in the U.S. Asia Pacific Journal of Management. 3(1), 10-29. MAHAJAN, A. (1984). PROFITABILITY MEASURES AS INDICATORS OF POST-MERGER EFFICIENCY REVISITED. The Journal of Industrial Economics. 33(1), 135-138. Mahajan, A., & Mehta, D. (1984). STRONG FORM EFFICIENCY OF THE FOREIGN EXCHANGE MARKET AND BANK POSITIONS. Journal of Financial Research. 7(3), 197-207. MAHAJAN, A., & ROSE, P. S. (1984). BANKING IN NORTH-AMERICA - REGULATION AND INNOVATION. COLUMBIA JOURNAL OF WORLD BUSINESS. 19(4), 69-82. Kolari, J. W., Mahajan, A., & Saunders, E. M. (1983). THE IMPACT OF CHANGES IN FEDERAL RESERVE REQUIREMENTS ON BANK SECURITY RETURNS. Financial Review. 18(3), 35-35. Biswas, R., Fraser, D. R., & Mahajan, A. The Regulatory Environment, Level of Entry and International Acquisitions of Financial Firms Biswas, R., Fraser, D. R., & Mahajan, A. The Regulatory Environment, Level of Entry and International Acquisitions of Financial Firms. 5.
teaching activities BUAD679 Leadership Development Instructor BUAD681 Mgmt & Career Dev Wksp Instructor BUAD685 Directed Studies Instructor FINC445 International Finance Instructor FINC465 Seminar In Investmt Bnkg Instructor FINC484 Finance Internship:in-absentia Instructor FINC612 Finc For Professional Instructor FINC613 Finc For Professional Ii Instructor FINC645 International Finance Instructor FINC651 Financial Valuation Instructor FINC685 Directed Studies Instructor IBUS446 International Finance Instructor IBUS645 International Finance Instructor MGMT679 Interntnl Bus Policy Instructor
chaired theses and dissertations Chen, Nai-Wei (2005-11). Two essays on monetary union and international finance. Lowrance, Daniel Scott (2004-09). An examination of agency costs: the case of REITs. Petkevich, Alexey (2012-10). Two Essays in Asset-Pricing.
education and training Ph.D. in Finance, Georgia State University - (Atlanta, Georgia, United States) 1980 M.B.A. in Finance, University of Scranton - (Scranton, Pennsylvania, United States) 1975 B.Com. in Accounting and Finance, University of Delhi - (New Delhi, India) 1972
awards and honors Faculty Service Excellence Award, conferred by Texas A&M University - (College Station, Texas, United States), 2014 Dan Robertson Outstanding Faculty Award, conferred by Texas A&M University - (College Station, Texas, United States), 2008 Bush Excellence Award for Faculty in International Teaching, conferred by Texas A&M University - (College Station, Texas, United States), 2003
mailing address Texas A&M University Dean Of Business Administration 4113 TAMU College Station, TX 77843-4218 USA
In the News Committee Announced to Find Next President of Texas A&M News Release Full-Time Texas A&M MBA Names Top 10 Global "Value For Money" By Financial Times News Release Texas A&M Executive MBA Earns No. 9 U.S. Public Program Ranking By The Economist News Release