Dr. Narayanan’s academic research focuses broadly on issues related to banking and
                                 financial markets. His research has been published articles in leading academic journals
                                 including the Journal of Financial Economics, Review of Financial Studies and Journal
                                 of Money Credit and Banking. He has delivered lectures to and conducted seminars on
                                 various topics for executives and technocrats in Brazil, China, the Czech Republic,
                                 India, Malaysia and South Africa. His interviews and commentary have been featured
                                 in national media outlets such as the Wall Street Journal, CNN/Money, Bloomberg, Fortune
                                 as well as in regional and local media outlets such the Times Picayune, The Advocate,
                                 Baton Rouge Business report, WBRZ-TV, and WWL-Radio. 
                               
                           
                              
                              Dombrowski, T., Narayanan, R. P., and Pace, R. (2020). Mortgage Portfolio Diversification
                                 in the Presence of Cross-Sectional and Spatial Dependence. Advances in Econometrics,
                                 41, 383-411.
                              
                              Dombrowski, T., Narayanan, R. P., and Pace, R. (2020). The Rank Size Rule and Challenges
                                 in Diversifying Commercial Real Estate Portfolios. Journal of Real Estate Finance
                                 and Economics, 2020.
                              
                              Narayanan, R. P. and Uzmanoglu , C. (2018). How do firms respond to empty creditor
                                 holdout in Distressed Exchanges?. Journal of Banking and Finance, 94, 251-266.
                              
                              Narayanan, R. P. and Uzmanoglu, C. (2018). Credit Default Swaps and Firm Value. Journal
                                 of Financial and Quantitative Analysis, 53, 1227-1259.
                              
                              Narayanan, R. P and Uzmanoglu , C. (2018). Credit Insurance, Distress Resolution Costs,
                                 and Bond Spreads. Financial Management, 47, 931-951.
                              
                              Le, H. T. T., Vo, L. Van, and Narayanan, R. P. (2016). Has the effect of Asset Securitization
                                 on Bank Risk Taking Behavior Changed?. Journal of Financial Services Research, 49(1),
                                 39-64.
                              
                              Devos, E., Krishnamurthy, S., and Narayanan, R. P (2016). Efficiency and Market Power
                                 Gains in Bank Megamergers: Evidence from Value Line Forecasts. Financial Management,
                                 45(14), 1011-1040.
                              
                              Lubben, S. J. and Narayanan, R. P. (2012). CDS and the Resolution of Distress. Journal
                                 of Applied Corporate Finance, 24(4), 129-134.
                              
                              Carow, K. A., Kane, E. J., and Narayanan, R. P. (2011). Safety-Net Losses From Abandoning
                                 Glass-Steagall Restrictions. Journal of Money, Credit and Banking.
                              
                              Narayanan, R. P., Rangan, K. P, and Rangan, N. K (2007). The Effect of Private-Debt-Underwriting
                                 Reputation on Bank Public-Debt Underwriting. Review of Financial Studies, 20, 597-618.
                              
                              Carow, K., Kane, E. J., and Narayanan, R. P. (2006). How Have Borrowers Fared in Banking
                                 Mega-Mergers?. Journal of Money, Credit and Banking, 38, 821-836.
                              
                              Narayanan, R. P., Rangan, . P, and Rangan, N. K (2004). The Role of Syndicate Structure
                                 in Bank Underwriting . Journal of Financial Economics, 72, 555-580.
                               
                           
                              
                              Teaching and Research Interests: Banking, Financial Markets, Financial Institutions
                               
                           
                              
                              Davidoff, S. M. , Makhija, A. K., and Narayanan, R. P. (2011). Fairness Opinions in
                                 Mergers and Acquisitions In H. Kent Baker and Halil Kiymaz (Ed.), The Art of Capital
                                 Restructuring: Creating Shareholder Value through Mergers and Acquisitions
                               
                           
                              
                              McCollum, M., Narayanan, R. P., and Pace, R. (2019). A Revealed Preference Approach
                                 to Identifying Strategic Mortgage Default