Sarayut  Nathaphan
 
Education
Ph.D., Thammasat University, Thailand, 2006
M.S., University of Denver, United States, 1997
B.B.A., Thammasat University, Thailand, 1994
Work Experience
2015-present Assistant Professor, Mahidol University International College , Thailand
2015-present Associate Dean for Academic Affairs and Research, Mahidol University International College , Thailand
2010-present Deputy Head, Capital Market Research Institute, SET, Thailand
2010-2015 Assistant Professor, Thammasat Business School, Thammasat University, Thailand
2007-2009 Credit risk Training Program, SME banks, Thailand
2000-2009 Managing Director, The Cup-pa Coffee House, Thailand
1998-2008 Part-time Lecturer, Faculty of Economics, Thammasat University, Thailand
2003-2004 Leo Program Coordinator, Citi Bank, Thailand
2001-2004 Head of Finance department and lecturer, Mahidol University International College , Thailand
2000-2002 Project Coordinator, UN-ESCAP GMS region, Thailand
1999-2001 Business Program Coordinator and Lecturer, Mahidol University International College, Thailand
1997-1999 Part-time Lecturer, Mahidol University International College , Thailand
1994-1995 Credit Analyst, Siam Commercial Bank , Thailand
Publications
Articles
2015 Wattanatorn, W., Nathaphan, S., & Padungsaksawadsdi, C. (2015). Bank-related asset management firm and risk taking in mutual fund tournament: evidence from ASEAN economic community. Journal of Applied Economic Sciences, 10 (2(32)), 279-292.
2014 Fuangkasem, R., Chunhachinda, P., & Nathaphan, s. (2014). Information Transmission Among World Major Gold Futures Markets: Evidence From High Frequency Synchronous Trading Data. Journal of US-China Public Administration, 11 (3).
2012 Dryver, A. L. (2012). A New Perspective on Daily Value at Risk Estimates. International Journal of Economics and Finance , 4 (4), 114-120, doi: 10.5539/ijef.v4n4p114.
2012 Nathaphan, S. & Chunhachinda, P. (2012). Determinants of Growth for Thai Mutual Fund Industry. International Research Journal of Finance and Economics (86), 120-131.
2010 Nathaphan, S. & Chunhachinda, P. (2010). Estimation Risk Modeling in Optimal Portfolio Selection: An Empirical Study from Emerging Markets. Economics Research International, 2010, 1-10, doi: 10.1155/2010/340181.
Proceedings
2013 Nathaphan, S. & Chairakwattana, K. (2013). Stock Return Predictability by Bayesian Model Averaging: Evidence from Stock Exchange of Thailand. The 2013 Conference in Macroeconomics and Finance
Services to Thammasat Business School
Teaching
Doctoral:
Ph.D: DB 823 Financial Theory
Masters:
HRM: BA 620 Financial Management
MBA: BA 620 Financial Management ( group 1 )
MBA: BA 727 Advanced Feasibility Study
MBA: BA 728 Personal Wealth Management
MIF :  MF640  Financial Economics Theory
XMBA: XM 606 Strategic Financial Management
Bachelors:
Internatioanal BBA: FN241 Risk Management and Insurance
Internatioanal BBA: FN313 International Financial Management
Other Services
Ph.D. Final Defense Committee (Appointment no. 236/2558 and Appointment no. 402/2558)
MIF Independent Study Examination Committee (Appointment no. 38/2558)
MIF Curriculum Review Committee (Appointment no. 49/2557)
MBA Qualifying Examination Committee (Appointment no. 3/2558)
MRE Independent Study Examination Committee (Appointment no. 28/2558)