Saikat Sarkar
School of Administrative Studies
Assistant Professor
Teaching Stream
Email: sarkars@yorku.ca
Dr. Saikat Sarkar is an assistant professor in the School of Administrative Studies at York University. He has been a visiting scholar at the Melbourne University, Australia. Dr. Sarkar previously taught several undergraduate and graduate finance courses in Tampere University, Finland, Jyvaskyla University, Finland, and Mount Allison University, New Brunswick, Canada.
Publications
Sarkar, S., and Tuomala, M. (2021). “Asset bubbles in explaining top income shares,” The Journal of Economic Inequality, 19, 707–726.
Kahra, H., Martin, V.L., and Sarkar, S. (2019). “A nonlinear model of asset returns with multiple shocks,” Studies in Nonlinear Dynamics & Econometrics, 23 (1), 1– 45.
Martin, V.L., Sarkar, S., and Kanto, A.J. (2014). “Modelling nonlinearities in equity returns: the mean impact curve analysis,” Studies in Nonlinear Dynamics & Econometrics, 18 (1), 51-72.
Degrees
Ph.D. in Economics, University of Tampere, FinlandMaster of Finance, Simon Fraser University, Canada
MBA, Lucknow University, India
MA in Economics, Rabindra Bharati University, India
Current Courses
Term | Course Number | Section | Title | Type |
---|---|---|---|---|
Fall 2024 | AP/ADMS4540 3.0 | B | Financial Management | LECT |
Fall 2024 | AP/ADMS4540 3.0 | C | Financial Management | LECT |
Upcoming Courses
Term | Course Number | Section | Title | Type |
---|---|---|---|---|
Winter 2025 | AP/ADMS3531 3.0 | N | Personal Investment Management | LECT |
Winter 2025 | AP/ADMS3531 3.0 | O | Personal Investment Management | LECT |
Winter 2025 | AP/ADMS4504 3.0 | M | Fixed Income Securities & Risk Managemen | LECT |
Winter 2025 | AP/ADMS4504 3.0 | N | Fixed Income Securities & Risk Managemen | LECT |
Dr. Saikat Sarkar is an assistant professor in the School of Administrative Studies at York University. He has been a visiting scholar at the Melbourne University, Australia. Dr. Sarkar previously taught several undergraduate and graduate finance courses in Tampere University, Finland, Jyvaskyla University, Finland, and Mount Allison University, New Brunswick, Canada.
Publications
Sarkar, S., and Tuomala, M. (2021). “Asset bubbles in explaining top income shares,” The Journal of Economic Inequality, 19, 707–726.
Kahra, H., Martin, V.L., and Sarkar, S. (2019). “A nonlinear model of asset returns with multiple shocks,” Studies in Nonlinear Dynamics & Econometrics, 23 (1), 1– 45.
Martin, V.L., Sarkar, S., and Kanto, A.J. (2014). “Modelling nonlinearities in equity returns: the mean impact curve analysis,” Studies in Nonlinear Dynamics & Econometrics, 18 (1), 51-72.
Degrees
Ph.D. in Economics, University of Tampere, FinlandMaster of Finance, Simon Fraser University, Canada
MBA, Lucknow University, India
MA in Economics, Rabindra Bharati University, India
Current Courses
Term | Course Number | Section | Title | Type |
---|---|---|---|---|
Fall 2024 | AP/ADMS4540 3.0 | B | Financial Management | LECT |
Fall 2024 | AP/ADMS4540 3.0 | C | Financial Management | LECT |
Upcoming Courses
Term | Course Number | Section | Title | Type |
---|---|---|---|---|
Winter 2025 | AP/ADMS3531 3.0 | N | Personal Investment Management | LECT |
Winter 2025 | AP/ADMS3531 3.0 | O | Personal Investment Management | LECT |
Winter 2025 | AP/ADMS4504 3.0 | M | Fixed Income Securities & Risk Managemen | LECT |
Winter 2025 | AP/ADMS4504 3.0 | N | Fixed Income Securities & Risk Managemen | LECT |