George G. Kaufman

George G. Kaufman

Ph.D, Dr., Professor of Finance and Economics, Director of the Center for Financial and Policy Studies, School of Business Administration, Loyola University Chicago, USA

Education:  
Stuyvesant High School, New York City1951
Oberlin College, Ohio B.A.1954
University of Michigan M.A.1955
University of Iowa (Economics) Ph.D.1962
Professional Positions:  
Research Assistant, Bureau of Business and Economic Research; University of Iowa  1957-59
Research Fellow, Economist, Senior Economist, Assistant Vice President; Federal Reserve Bank of Chicago 1959-70
Visiting Professor; University of Southern California John B. Rogers Professor of Banking and Finance, College of Business Spring 1970 
Administration; University of Oregon1970-80  
Director of Doctoral Program, College of Business Administration 1972-74  
Director, Center for Capital Market Research1973-80 
Visiting Professor, Graduate School of Business; Stanford University Visiting Scholar; Federal Reserve Bank of San Francisco 1975-76
Deputy to Assistant Secretary for Economic Policy; U. S. Treasury Department Aug.-Dec. 1976 
Visiting Scholar and Acting Director of Research; Comptroller of the Currency   Jan.-July 1978
Visiting Professor, School of Business Administration; University of California at Berkeley 
Jan.-June 1979
John F. Smith, Jr. Professor of Finance and Economics, and Director of the Center for Financial and Policy Studies; School of Business Administration; Loyola University Chicago1981-

Awards and Honors:
President, Western Finance Association, 1974-75
President, Midwest Finance Association, 1986-87
President, North American Economic and Finance Association, 2003
Board of Directors, American Finance Association, 1977-80
Adam Smith Award, National Association for Business Economics, 2002
Distinguished Scholar Award, Midwest Finance Association, 2002
Distinguished Fellow, North American Economic and Finance Association, 2006
Outstanding Faculty Member, College of Business, Loyola University, 1983
Faculty Member of the Year, Loyola University, 1992
Researcher of the Year, College of Business, Loyola University, 2007
Professional Fellow, Reserve Bank of New Zealand, 2004
State Bank Visiting Research Professor, Deakin University, Australia, Nov. - Dec. 1990.

Reserch Grants:
National Science Foundation
Federal Home Loan Bank Board
Securities Industry Association
American Enterprise Institute
Chartered Financial Analysts Foundation
Prochnow Foundation (Wisconsin Graduate School of Banking)
Institute for Quantitative Research in Finance

Professional Journals
Journal of Financial Services Research
Co-Editor, 1987-2000.
Journal of Financial Stability
Founding Editor, 2000-
Co-Editor, 2004-

Editorial Boards (Associate Editor):
Journal of Financial and Quantitative Analysis, 1972-87.
Journal of Business Research, 1973-77.
Journal of Bank Research, 1979-87.
Journal of Credit Union Management and Economics, 1981-82.
Journal of Financial Research, 1982-1993.
Journal of Money, Credit and Banking, 1984-
Financial Review, 1986-92.
Journal of Applied Business Research, 1986-
Housing Finance Review, 1987-1990.
Contemporary Economic Policy, 1987-
North American Review of Economics and Finance, 1990-
Journal of Managerial Issues, 1992-
Review of Pacific Basin Financial Markets and Policies, 1998-
Multinational Finance Journal, 2001-

Books:
Monetary Economics:?Readings on Current Issues (McGraw Hill), 1971 (co editor with William E. Gibson).
Money, the Financial System, and the Economy (Rand McNally/ Houghton Mifflin), 1973, 1977, 1981.
Money and the Financial System:?Fundamentals (Rand McNally), 1975.
The U. S. Financial System:?Money, Markets, and Institutions (Prentice-Hall), 1980, 1983, 1986, 1989, 1992, 1995; Chinese edition, 2001.
The Property Tax Revolt:?The Case of Proposition 13 (Ballinger Press), 1981 (co editor with Kenneth Rosen).
Efficiency in the Municipal Bond Market:?Use of Tax Exempt Bonding to Finance "Private" Activities (JAI Press), 1981 (editor).
Innovations in Bond Portfolio Management:?Duration Analysis and Immunization (JAI Press), 1983 (co editor with G. O. Bierwag and Alden Toevs).
Perspectives on Safe and Sound Banking:?Past, Present, and Future (MIT Press), 1986 (co author with George J. Benston, Robert Eisenbeis, Paul Horvitz, and Edward Kane).
Deregulating Financial Services: Public Policy in Flux (Ballinger Press), 1986 (co editor with Roger Kormendi).
Research in Financial Services: Private and Public Policies (Annual) (JAI/Elsevier Press), Vols. 1 (1989), 2 (1990), 3 (1991), 4 (1992), 5 (1993), 6 (1994) 7 (1995), 8 (1996), 9 (1997), 10 (1998), 11 (1999), 12 (2000), 13 (2001), 14(2002) and 15(2003), (editor).
Restructuring the American Financial System (Kluwer Academic), 1990 (editor).
Banking Structures in Major Countries (Kluwer Academic), 1991 (editor).
Assessing Bank Reform:?FDICIA One Year Later (Brookings Institution), 1993 (co-editor with Robert Litan).
Reforming Financial Institutions and Markets in the United States (Kluwer Academic), 1994 (editor).
Discrimination in Financial Services (Kluwer Academic), 1997 (co-editor with George J. Benston and W. Curt Hunter).
Preventing Bank Crises: Lessons from Recent Global Bank Failures (World Bank), 1998 (co-editor with G. Caprio, W.C. Hunter, and D. Leipziger).
The Asian Financial Crisis: Origins, Implications, and Solutions (Kluwer Academic), 1999 (co-editor with W. Curt Hunter and Thomas Krueger).
Global Financial Crises: Lessons from Recent Events (Kluwer Academic), 2000 (co-editor with Joseph Bisignano and W. Curt Hunter).
Asset Price Bubbles: Implications for Monetary, Regulatory, and International Policies (MIT Press), 2003,?(co-editor with W. Curt Hunter and Michael Pomerleano), (paperback edition 2005).
Market Discipline: The Evidence Across Countries and Industries (MIT Press), 2004 (forthcoming), (co-editor with Claudio Borio, W. Curt Hunter, and Kostas Tsatsaronis).
Systemic Financial Crises: Resolving Large Bank Insolvencies, (World Scientific), 2005 (Co-editor with Douglas Evanoff).
Cross - Border Banking: Regulatory Challenges (World Scientific), 2006 (Co-editor with Gerard Caprio and Douglas Evanoff).
International Financial Instability: Global Banking and National Regulation (World Scientific), 2007 (Co-editor with Douglas Evanoff and Raymond LaBrosse).
Financial Institutions and Markets (Palgrave), (Co-editor with Robert Bliss), (2008).
Globalization and Systemic Risk (World Scientific), (co-editor with Douglas Evanoff and David Hoelscher), (2009).
The Credit Market Turmoil of 2007-2008 (World Scientific), (co-editor with Douglas Evanoff and Philipp Hartmann), (forthcoming).

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