Harvey, Campbell R.
Harvey, Campbell R., 1958-
Campbell Harvey économiste canadien
VIAF ID: 51786220 ( Personal )
Permalink: http://viaf.org/viaf/51786220
Preferred Forms
- 100 0 _ ‡a Campbell Harvey ‡c économiste canadien
- 200 _ | ‡a Harvey ‡b Campbell R.
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- 100 1 _ ‡a Harvey, Campbell R.
- 100 1 _ ‡a Harvey, Campbell R.
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- 100 1 _ ‡a Harvey, Campbell R.
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- 100 1 _ ‡a Harvey, Campbell R.
- 100 1 _ ‡a Harvey, Campbell R. ‡d 1958-
- 100 1 _ ‡a Harvey, Campbell R. ‡d 1958-
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4xx's: Alternate Name Forms (20)
5xx's: Related Names (6)
- 510 2 _ ‡a Duke University ‡4 affi ‡4 https://d-nb.info/standards/elementset/gnd#affiliation ‡e Affiliation
- 510 2 _ ‡a Ecole des hautes études commerciales ‡g Frankreich ‡4 affi ‡4 https://d-nb.info/standards/elementset/gnd#affiliation ‡e Affiliation
- 510 2 _ ‡a Fuqua School of Business ‡4 affi ‡4 https://d-nb.info/standards/elementset/gnd#affiliation ‡e Affiliation
- 510 2 _ ‡a Man Group ‡4 affi ‡4 https://d-nb.info/standards/elementset/gnd#affiliation ‡e Affiliation
- 510 2 _ ‡a National Bureau of Economic Research ‡4 affi ‡4 https://d-nb.info/standards/elementset/gnd#affiliation ‡e Affiliation
- 510 2 _ ‡a University of Chicago ‡4 affi ‡4 https://d-nb.info/standards/elementset/gnd#affiliation ‡e Affiliation
Works
Title | Sources |
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Are common swings in international stock returns justified by subsequent changes in national outputs ? | |
Capital Allocation and Delegation of Decision-Making Authority within Firms | |
Como a previdência social pode contribuir para a retoma do crescimento economicò | |
Conditioning variables and the cross-section of stock returns | |
A corporate beauty contest | |
Country risk in global financial management | |
Dating the integration of world equity markets | |
DeFi and the future of finance | |
Dipai wa geumnyung ui mirae | |
Dynamic trading strategies and portfolio choice | |
Economic, financial, and fundamental global risk in and out of the EMU | |
The economic implications of corporate financial reporting | |
The effect of capital structure when expected agency costs are extreme | |
Emerging equity market volatility | |
Expectations of equity risk premia, volatility and asymmetry from a corporate finance perspective | |
An exploratory investigation of the fundamental determinants of national equity market returns, 1993: | |
Financial openness and productivity | |
The Golden Dilemma | |
Growth volatility and financial liberalization | |
Hypertextual finance glossary | |
Investor competence, trading frequency, and home bias | |
Liquidity and expected returns lessons from emerging markets | |
Managerial miscalibration | |
Managerial overconfidence and corporate policies | |
Market integration and contagion | |
The New York times dictionary of money and investing : the essential A-to-Z guide to the language of the new market | |
papel do mercado de capitais no crescimento económico | |
The real effects of financial constraints evidence from a financial crisis | |
Strategic risk management : designing portfolios and managing risk | |
The tactical and strategic value of commodity futures | |
What determines expected international asset returns? | |
What segments equity markets? | |
디파이와 금융의 미래 |