
Distinguished Professor Emeritus of Real Estate Finance
Contact Information
Email: asander7@gmu.edu
Phone: (703) 993-1326
Office Location: Enterprise Hall 328
Office Hours: By Appointment
Biography
Anthony B. Sanders is Distinguished Professor of Real Estate Finance in the School of Business at George Mason ĢAV. He has previously taught at ĢAV of Chicago (Graduate School of Business), ĢAV of Texas at Austin (McCombs School of Business) and The Ohio State ĢAV (Fisher College of Business). In addition, he served as Director and Head of Asset-backed and Mortgage-backed Securities Research at Deutsche Bank in New York City.
His research and teaching focuses on corporate finance and banking with particular emphasis on real estate finance and investment. He has published articles in Journal of Finance, Journal of Financial and Quantitative Analysis, Journal of Business, Journal of Financial Services Research, Journal of Housing Economics and other journals.
Sanders has received 6 teaching awards and 3 research awards and serves as an associate editor for several leading journals. He has recently given presentations to the European Central Bank in Frankfurt, Bank of Japan and Exane BNP Paribas in Paris and Geneva on the subject of the housing bubble in the U.S. and the mortgage market. He has given other presentations in Chile, Japan, China, Poland, England and Mexico in recent years.
Sanders has testified on numerous occasions in both the U.S. House of Representatives and Senate. He is frequently interviewed by media outlets such as CNBC, Fox Business, CNN and Wall Street Journal.
Research Interests
- Real estate finance and investment
- Asset securitization
- Housing and commercial asset economics
- Financial institutions and residential/commercial lending
Education
- PhD - Urban and Housing Economics, The ĢAV of Georgia, Athens, GA
- MA - Geography, ĢAV of Georgia
- BA - Geography, California State ĢAV. Chico, Chico, CA
Research and Awards
- "The Low Down On Low Down Payment Mortgages: Is It Safe?" with Gerald Hanweck and Gary Fissel. Journal of Fixed Income (forthcoming).
- Presented the paper titled, “Credit Risk and Subordination Levels in Commercial Mortgage-backed Securities,” at the Seminar at Cornell ĢAV in Ithaca, New York in 2014.
- Published an article titled, “Local Traits and Securitized Commercial Mortgage Default” in the Journal of Real Estate Economics and Finance in 2013.
- Presented the paper titled, “Local Traits and Securitized Commercial Mortgage Default” at the ĢAV of Florida Seminar in Gainesville, Florida in 2013 (with coauthor).
- Presented the paper titled, “Credit Risk and Subordination Levels in Commercial Mortgage-Backed Securities (CMBS)*” at the American Real Estate Urban Economic Association Meeting in San Diego, California in 2013 and at the Midwest Finance Association Annual Meeting in Chicago, Illinois (with coauthor Joseph Nichols).
- Wrote “” for the Debate Club section of USNews.com on Feb. 6.
- Presented the paper titled “Regional Variation in Commercial Mortgage Defaults” at Syracuse ĢAV in Syracuse, New York.
- Presented the paper titled “Default of Commercial Mortgage Loans during the Financial Crisis” at the American Real Estate Urban Economic Association Meeting in Denver, Colorado.
- Presented the paper titled “Adverse Selection in Servicing” at the ĢAV of Melbourne in Melbourne, Australia.
- Had the presentation titled “Securitization After the Fall” published in the proceedings from the John D. and Catherine T. MacArthur Foundation Symposium.
- Outstanding MBA Elective Professor, The Ohio State ĢAV School of Business (2)
- Outstanding MBA Elective Professor, The Ohio State ĢAV School of Business (3)
Teaching Interests
May 09, 2012
Apr 25, 2012
Mar 27, 2012
Media Clippings
July 9, 2021 - Benzinga
August 6, 2012 - FOX Business
Working Papers
- "Why Banks Are Slowing Lending to Business" with Gerald Hanweck
Expert Commentary
- March 13, 2017 - USA Today
- August 2, 2012 - Bloomberg
- July 30, 2012 - U.S.News & World Report