John Sedunov

Villanova University - Department of Finance

Assistant Professor

800 Lancaster Ave.

Villanova, PA 19085

United States

http://homepage.villanova.edu/john.sedunov/

SCHOLARLY PAPERS

15

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Top 8,071

in Total Papers Downloads

6,855

SSRN CITATIONS
Rank 11,678

SSRN RANKINGS

Top 11,678

in Total Papers Citations

73

CROSSREF CITATIONS

29

Scholarly Papers (15)

1.
Downloads 1,602 ( 13,134)
Citation 6

The Granular Nature of Large Institutional Investors

Management Science, Forthcoming, Charles A. Dice Center Working Paper No. 2015-09, Fisher College of Business Working Paper No. 2015-03-09, Swiss Finance Institute Research Paper No. 15-67
Number of pages: 97 Posted: 20 Jun 2015 Last Revised: 08 Jul 2020
Ohio State University (OSU) - Department of Finance, USI Lugano, Villanova University - Department of Finance and Villanova University - Department of Finance
Downloads 1,578 (13,190)
Citation 6

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Institutional investors, Concentration, Granularity, Fire Sales, Liquidity

The Granular Nature of Large Institutional Investors

NBER Working Paper No. w22247
Number of pages: 96 Posted: 16 May 2016 Last Revised: 16 Apr 2021
Ohio State University (OSU) - Department of Finance, USI Lugano, Villanova University - Department of Finance and Villanova University - Department of Finance
Downloads 24 (605,052)

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The Granular Nature of Large Institutional Investors

CEPR Discussion Paper No. DP13427
Number of pages: 48 Posted: 11 Jan 2019
Ohio State University (OSU) - Department of Finance, USI Lugano, Villanova University - Department of Finance and Villanova University - Department of Finance
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Concentration, fire sales, granularity, institutional investors, liquidity

2.

ETF Short Interest and Failures-to-Deliver: Naked Short-Selling or Operational Shorting?

Darden Business School Working Paper No. 2961954, 2019 Academic Research Colloquium for Financial Planning and Related Disciplines
Number of pages: 92 Posted: 03 May 2017 Last Revised: 10 Mar 2021
University of Virginia - Darden School of Business, Villanova University - Department of Finance, Villanova University - Villanova School of Business and Villanova University - Department of Finance
Downloads 1,528 (14,139)
Citation 7

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Exchange-Traded Funds, Short-Selling, Failure to Deliver, Retail Trading, Market Making, Authorized Participants, Liquidity, Security Settlement, Counterparty Risk

3.

How did Retail Investors Respond to the COVID-19 Pandemic? The Effect of Robinhood Brokerage Customers on Market Quality

Finance Research Letters, Forthcoming
Number of pages: 26 Posted: 08 Oct 2020 Last Revised: 27 Jan 2021
Michael S. Pagano, John Sedunov and Raisa Velthuis
Villanova University - Villanova School of Business, Villanova University - Department of Finance and Villanova University - Department of Finance
Downloads 525 (63,655)
Citation 3

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COVID-19 pandemic, financial markets, individual investors, retail trading, herding, Robinhood, Robintrack

4.

Governance Mechanisms and Effective Activism: Evidence from Shareholder Proposals on Poison Pills

EFA 2007 Ljubljana Meetings Paper
Number of pages: 41 Posted: 06 Mar 2007 Last Revised: 15 Jul 2017
Mireia Gine, Rabih Moussawi and John Sedunov
IESE Business School, University of Navarra, Villanova University - Department of Finance and Villanova University - Department of Finance
Downloads 493 (68,870)
Citation 3

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Corporate Governance, Poison Pills, Institutional Investors, Shareholder Proposals, Voting

5.

Did TARP Reduce or Increase Systemic Risk? The Effects of Government Aid on Financial System Stability

Journal of Financial Intermediation, Forthcoming
Number of pages: 63 Posted: 30 Sep 2016 Last Revised: 12 Jan 2019
Allen N. Berger, Raluca A. Roman and John Sedunov
University of South Carolina - Darla Moore School of Business, Federal Reserve Bank of Philadelphia and Villanova University - Department of Finance
Downloads 454 (76,244)
Citation 24

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Government Assistance, TARP, Banks, Systemic risk, Financial Crises.

6.

What is the Systemic Risk Exposure of Financial Institutions?

Journal of Financial Stability, Forthcoming, Midwest Finance Association 2013 Annual Meeting Paper
Number of pages: 59 Posted: 09 Sep 2012 Last Revised: 28 Apr 2016
John Sedunov
Villanova University - Department of Finance
Downloads 416 (84,456)
Citation 10

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Systemic Risk, Financial Crises, Risk Management, Banking

7.

Cross-Border Bank Flows and Systemic Risk

Number of pages: 82 Posted: 23 Mar 2017 Last Revised: 30 Apr 2018
Cornell University - Samuel Curtis Johnson Graduate School of Management, Villanova University - Department of Finance and Mississippi State University
Downloads 360 (99,804)
Citation 15

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Cross-border bank flows, financial institutions, bank regulation, systemic risk, financial crises

8.

Bank Liquidity Creation and Real Economic Output

Journal of Banking and Finance, Forthcoming
Number of pages: 47 Posted: 29 Oct 2014 Last Revised: 19 Apr 2017
Allen N. Berger and John Sedunov
University of South Carolina - Darla Moore School of Business and Villanova University - Department of Finance
Downloads 337 (107,432)
Citation 20

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Banks, Liquidity Creation, GDP, Economic Output

9.

Bitcoin and the Demand for Money: Is Bitcoin More Than a Speculative Asset?

Number of pages: 56 Posted: 07 Dec 2018 Last Revised: 12 Jun 2020
Michael S. Pagano and John Sedunov
Villanova University - Villanova School of Business and Villanova University - Department of Finance
Downloads 300 (121,841)
Citation 2

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Fintech, Bitcoin, Cryptocurrency, Money

10.

Operational Risk Is More Systemic than You Think: Evidence from U.S. Bank Holding Companies

Number of pages: 63 Posted: 31 Jul 2018 Last Revised: 11 Jan 2021
University of South Carolina - Darla Moore School of Business, Federal Reserve Bank of Richmond - Quantitative Supervision & Research, University of Kansas and Villanova University - Department of Finance
Downloads 235 (156,164)
Citation 2

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Banking, Operational Risk, Systemic Risk

11.

A Comprehensive Approach to Measuring the Relation Between Systemic Risk Exposure and Sovereign Debt

Journal of Financial Stability, Volume 23, April 2016, 62-78
Number of pages: 51 Posted: 26 Jul 2013 Last Revised: 13 Nov 2019
Michael S. Pagano and John Sedunov
Villanova University - Villanova School of Business and Villanova University - Department of Finance
Downloads 223 (164,242)
Citation 2

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Systemic Risk, Banking Crises, Sovereign Risk, Contagion, Financial Institutions

12.

Operating Risk and the Scope of Lender Control Rights

Number of pages: 50 Posted: 25 Jan 2017 Last Revised: 30 Jan 2017
Stephen A. Karolyi and John Sedunov
Carnegie Mellon University - David A. Tepper School of Business and Villanova University - Department of Finance
Downloads 146 (238,285)

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operating risk, technical default, control rights, governance, syndicated loans

13.

Does Bank Technology Impact Small Business Lending Decisions?

Journal of Financial Research, Forthcoming
Number of pages: 45 Posted: 02 Nov 2014 Last Revised: 15 Oct 2016
John Sedunov
Villanova University - Department of Finance
Downloads 88 (341,179)

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Financial Institutions, Lending, Technology, Soft Information

14.

Supervisory Enforcement Actions against Banks and Systemic Risk

Number of pages: 56 Posted: 10 Nov 2020 Last Revised: 21 Jan 2021
University of South Carolina - Darla Moore School of Business, University of South Carolina, Federal Reserve Bank of Philadelphia and Villanova University - Department of Finance
Downloads 81 (358,513)
Citation 2

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Enforcement actions, banks, systemic risk, leverage risk, financial crises

15.

Small Banks and Consumer Satisfaction

Journal of Corporate Finance, Vol. 60, 2020
Number of pages: 46 Posted: 21 Nov 2018 Last Revised: 14 Nov 2019
John Sedunov
Villanova University - Department of Finance
Downloads 67 (398,582)
Citation 1

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Consumer Satisfaction, CFPB, Bank Regulation, Small Banks