Whitman School of Management at Syracuse University
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Ravi Shukla
Associate Professor

Finance Department
Whitman School of Management
rkshukla@syr.edu
(315) 443-3576

PhD (Finance), State University of New York (SUNY) at Buffalo

Research Interests

Professor Shukla's primary research interests are in the areas of investments, asset pricing, and methodological issues.

Selected Publications

Ravi Shukla. "The Value of Active Portfolio Management." Journal of Economics and Business, Volume 56, Issue 4, July-August 2004, 331–346.

Moon Kim, Ravi Shukla and Michael Tomas. "Mutual Fund Objective Misclassification." Journal of Economics and Business, Volume 52, Issue 4, July 2000, 309–323.

Ravi Shukla and Greg van Inwegen. "Do Locals Perform Better than Foreigners?: An Analysis of UK and US Mutual Fund Managers." Journal of Economics and Business, Volume 47, Number 3, August 1995, 241–254.

Ravi Shukla and Sandeep Singh. "Are CFA Charterholders Better Equity Fund Managers?" Financial Analysts Journal, Volume 50, Number 6, November/December 1994, 68–74.

Ravi Shukla and Charles Trzcinka. "Persistent Performance in the Mutual Funds Market: Tests with Funds and Investment Advisers." Review of Quantitative Finance and Accounting, Volume 4, Number 2, June 1994, 115–135.

Ravi Shukla and Charles Trzcinka. "Performance Measurement of Managed Portfolios." Financial Markets, Institutions and Instruments, Volume 1, Number. 3, October 1992.

Ravi Shukla and Charles Trzcinka. "Sequential Tests of the Arbitrage Pricing Theory: A Comparison of Principal Components and Maximum Likelihood Factors." Journal of Finance, Volume XLV, Number 5, December 1990, 1541–1564.