Daniel Huerta-Sanchez, Ph.D.
Assistant Professor of Finance

Office Hours: MW 2:00-3:30pm , F 9:00-10:00am and by appointment
Phone: 843.953.6647
E-mail: huertade@cofc.edu
Curriculum Vitae: Download
Current Courses
Education
University of Texas-Pan American, Edinburg, Texas
Ph.D. in Business Administration – Finance
Dissertation: “Essays on the Relationship between Investor Sentiment and Real Estate Investment Trusts”
Committee: Dr. Dave Jackson (Chair), Dr. Cynthia Brown, Dr. Jose Pagan, Dr. Thanh Ngo, Dr. Diego Escobari
Universidad Dr. Rafael Belloso Chacín URBE, Maracaibo, Venezuela
Bachelor of Science in Computer Engineering
Research Interests
- Banking
- Securitized Real Estate Finance
- Style Investing
- Behavioral Finance
- Teaching:
- Managerial Finance
- Financial Administration
- Financial Modeling
- Banking
Courses Taught
FINC 303 Business FinanceFINC 389 Fincl Mgmt Information Systems
MBAD 517 Advanced Corporate Finance
FINC 315 Intermediate Business Finance
Publications
Farooqi, J., Ngo, T., Huerta, D. and Chen, H. (Forthcoming) “Momentum strategies in Shari’ah stocks: The role of debt.” Journal of Investing.
Perez-Liston, D., Huerta, D. and Haq, S. (Forthcoming). “Does investor sentiment risk impact the returns and volatility of Islamic equities?” Journal of Economics and Finance.
Harris, O, Huerta, D. and Ngo, T. (2013). “The post-TARP operating performance of commercial banks.” Journal of International Financial Markets, Institutions & Money 24, 85-104.
Huerta, D., Jin, C. and Zhang, Y. (2012). “The impact of debt offerings on REIT long-run performance.” Journal of Real Estate Portfolio Management 18 (2), 155-167.
Huerta, D. and Perez, D. (2011). “The impact of hurricanes on investor sentiment and stock market returns.” Global Business and Finance Review 16 (2), 136-149.
Huerta, D., Perez, D. and Jackson, D. (2011). “The impact of TARP bailouts on stock market volatility and investor fear”. Banking and Finance Review 3, 45-54.