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JOHN J.
MCCONNELL
John J. McConnell is the Emanuel T. Weiler
Distinguished Professor of Management (in Finance) at the
Krannert Graduate School of Management at Purdue University
where he has been a faculty member since 1976. In addition
to being a Professor of Finance, at the Krannert School, he
has served as Director of Doctoral Programs and Research
(1990-1998), Area Coordinator of Finance (1994-1998;
2006-2007), and Academic Director of Professional Masters
Programs (2001-2006).
He received a B.A. in Economics from Denison University
(1968), an M.B.A. from the University of Pittsburgh (1969),
and a Ph.D. in Finance from Purdue University (1974). He
has also taught at Ohio State University (1975-1976), the
University of Minnesota (1981-1982), and Stanford University
(1986-1987). He has taught courses in corporate finance,
investments, and capital markets in the graduate and
undergraduate programs of these universities. He received
special recognition for his teaching as the winner of the Salgo Noren Outstanding Teacher Award (1993 and 1995), as
the winner of the Most Effective Teacher MSM Program Award
(1992), and as a winner of the Dean’s MBA Core Course Outstanding Teacher Award (2005
and 2007).
He has served as a member of the Boards of Directors of the
Federal Home Loan Bank of Indianapolis, the Harrington
Financial Group, Harrington Bank FSB, the American Finance
Association, and the Western Finance Association. He
has served on the Investment Committees (as chairman), the
Compensation Committees (as chairman), and the Audit
Committee of Harrington Bank FSB.
He has served as a consultant to investment banks (including
Merrill Lynch and Goldman Sachs), government agencies
(including the Federal Home Loan Mortgage Corporation, the
Department of Housing and Urban Development, the Department
of Justice, the Office of Thrift Supervision, and the Office
of Federal Housing Enterprise Oversight), and over 50 law
firms throughout the U.S. on various aspects of financial
markets and securities including such matters as stock and
bond prices, corporate valuation, mergers and acquisitions,
derivatives, mortgage backed securities (MBSs),
collateralized mortgage obligations (CMOs), sub-prime
lending, money management practices, and bank lending and
investment practices.
He has published over 75 articles in leading peer-reviewed
finance, economics and management journals on such topics as
stock and bond valuation and returns, portfolio management,
mergers and acquisitions, corporate restructurings,
derivative securities, asset leasing, and related topics.
He has been recognized for his scholarly achievements as the
Distinguished Scholar of the Eastern Finance Association
(2002) and as a Fellow of the Financial Management
Association (2007).
He has served on the Editorial Boards of the Journal of
Finance, Financial Management, the AREUEA Journal,
the Journal of Real Estate Finance and Economics, the
Financial Review, and the Pacific Basin Finance
Journal. He currently serves on the Editorial Boards of
the Annals of Finance, Investment Management and
Financial Innovations, the Journal of Corporate
Finance, the Journal of Financial and Quantitative
Analysis, the Journal of Fixed Income, and the
Real Estate Review.
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