Harvey, Campbell R.
Enlarge text Shrink text-
Save successfulThe item can be found in your Personal ZoneשגיאהLog in to your account to save
Information for Authority record
Other Identifiers
Sources of Information
- An exploratory investigation of the fundamental determinants of national equity market returns, 1993:t.p. (Campbell R. Harvey) p. following t.p. (Fuqua School of Business, Duke Univ. and NBER)
- OCLC #16624146, 5/6/99(hdg.: Harvey, Campbell Russell, 1958- ; usage: Campbell R. Harvey; author's Ph. D. thesis, Univ. of Chicago)
1 / 1
Wikipedia description:
Campbell Russell "Cam" Harvey (born June 23, 1958) is a Canadian economist, known for his work on asset allocation with changing risk and risk premiums and the problem of separating luck from skill in investment management. He is currently the J. Paul Sticht Professor of International Business at Duke University's Fuqua School of Business in Durham, North Carolina, as well as a research associate with the National Bureau of Economic Research in Cambridge, Massachusetts. He is Senior Fellow at the Oxford-Man Institute at the University of Oxford. He served as the 2016 president of the American Finance Association.
Read more on Wikipedia >