Dr. Franklin A. Michello
Professor | Director of M.S. in Finance
Departments / Programs
Degree Information
- PHD, University of Alabama (1999)
- MA, University of Alabama (1998)
- MS, Middle Tennessee State University (1987)
- BS, Middle Tennessee State University (1985)
Areas of Expertise
Finance, Investments and Derivatives
Biography
Publications
Michello, F. A., Chowdhury, S. H., & Wanorie, T. O. (2013). Lead-Lag Relationship between Stock Returns in the Indian Stock Market. International Research Journal of Applied Finance.
Michello, F. A., & Deme, M. (2012). Communication Failures, Synthetic CDOs, and the 2008 Financial Crisis. Academy of Accounting and Financial Studies Journal, 16 (4): 105-122.
Robinson, J. A., & Michello, F. A. (2011). Active Portfolio Equivale...
Publications
Michello, F. A., Chowdhury, S. H., & Wanorie, T. O. (2013). Lead-Lag Relationship between Stock Returns in the Indian Stock Market. International Research Journal of Applied Finance.
Michello, F. A., & Deme, M. (2012). Communication Failures, Synthetic CDOs, and the 2008 Financial Crisis. Academy of Accounting and Financial Studies Journal, 16 (4): 105-122.
Robinson, J. A., & Michello, F. A. (2011). Active Portfolio Equivalent (APE) Score: A New Look at a Portfolio Error Risk Proxy. International Research Journal of Applied Finance.
James, K. L., & Michello, F. A. (2009). Pro Forma Versus GAAP Reporting: An Examination of Differences in Investor Perceptions. Journal of Finance and Accounting, forthcoming.
Michello, F. A. (2009). Remittance, The Undervalued Capital Flow to Sub-Saharan Africa. Africagrowth Agenda Research.
Michello, F. A., & Wanorie, T. (2008). High Crude Oil Prices: Consequences and Implication for Africa's Growth Agenda. Africagrowth Agenda Research, 5 (3), 30-34.
Olibe, K. O., Michello, F. A., & Thorne, J. (2008). Systematic Risk and International Diversification: An Empirical Perspective. International Review of Financial Analysis, 17 (4), 681-698.
Michello, F. A., & Wanorie, T. (2007). Rethinking Customer Service in African Capital Markets. Africagrowth Agenda Research, 3, 22-25.
Michello, F. A. (2006). African Securities Markets and Market Liquidity: A Theoretical Perspective. Africagrowth Agenda Research, 3, 26-29.
Michello, F. A. (2006). Why Investors Ought to Include Africa in their Portfolio Selection. Africagrowth Agenda Research, 3, 10-11.
Michello, F. A,. & Ford, W. F. (2006). The Unemployment Effects of Proposed Changes in Social Security's Normal Retirement Age. Business Economics, 41 (2), 38-46.
Griffin, H. F., & Michello, F. A. (2004). MacGregor Capital Management: Mutual Fund Governance in Declining Market. Journal of Finance Case Research, 6 (1), 47-76.
James, K. L., & Michello, F. A. (2003). The Dangers of Pro Forma Reporting. CPA Journal, 73 (2), 65-67.