Segui
Keith Brown
Keith Brown
Professor of Finance, University of Texas
Email verificata su mccombs.utexas.edu
Titolo
Citata da
Citata da
Anno
Investment analysis and portfolio management
FK Reilly, KC Brown
中信出版社, 2002
36262002
Of tournaments and temptations: An analysis of managerial incentives in the mutual fund industry
KC Brown, WV Harlow, LT Starks
The Journal of Finance 51 (1), 85-110, 1996
18821996
Risk aversion, uncertain information, and market efficiency
KC Brown, WV Harlow, SM Tinic
Journal of financial economics 22 (2), 355-385, 1988
8101988
Why constrain your mutual fund manager?
A Almazan, KC Brown, M Carlson, DA Chapman
Journal of Financial Economics 73 (2), 289-321, 2004
6972004
Analysis of investments & management of portfolios
FK Reilly, KC Brown
(No Title), 2015
3382015
Analiza inwestycji i zarządzanie portfelem
FK Reilly, KC Brown
Polskie Wydawnictwo Ekonomiczne, 2001
2572001
Market overreaction: Magnitude and intensity
KC Brown, WV Harlow
Journal of Portfolio Management 14 (2), 6, 1988
2491988
Understanding and assessing financial risk tolerance: a biological perspective
WV Harlow, KC Brown
Financial Analysts Journal 46 (6), 50-62, 1990
1831990
Asset allocation and portfolio performance: Evidence from university endowment funds
KC Brown, L Garlappi, C Tiu
Journal of Financial Markets 13 (2), 268-294, 2010
1562010
The risk and required return of common stock following major price innovations
KC Brown, WV Harlow, SM Tinic
Journal of financial and Quantitative Analysis 28 (1), 101-116, 1993
1291993
Risk arbitrage and the prediction of successful corporate takeovers
KC Brown, MV Raymond
Financial Management, 54-63, 1986
1221986
An empirical analysis of interest rate swap spread
KC Brown, W Van Harlow, DJ Smith
Boston University, School of Management, 1991
1211991
Institutional demand and security price pressure: The case of corporate spinoffs
KC Brown, BA Brooke
Financial Analysts Journal 49 (5), 53-62, 1993
1071993
In search of Unicorns: Private IPOs and the changing markets for private equity investments and corporate control
KC Brown, KW Wiles
Journal of applied corporate finance 27 (3), 34-48, 2015
702015
The role of risk tolerance in the asset allocation process: A new perspective
WV Harlow, KC Brown
(No Title), 1990
691990
Staying the course: The role of investment style consistency in the performance of mutual funds
KC Brown, WV Harlow, H Zhang
Available at SSRN 1364737, 2009
642009
Investment analysis and portfolio management
R Frank, KC Brown
Cengage Learning, 2012
552012
Corporate governance, incentives, and industry consolidations
KC Brown, A Dittmar, H Servaes
The Review of financial studies 18 (1), 241-270, 2005
542005
Does the composition of the market portfolio really matter
KC Brown, GD Brown
Journal of Portfolio Management 13 (2), 26-32, 1987
521987
An examination of event dependency and structural change in security pricing models
KC Brown, LJ Lockwood, SL Lummer
Journal of Financial and Quantitative Analysis 20 (3), 315-334, 1985
431985
Il sistema al momento non può eseguire l'operazione. Riprova più tardi.
Articoli 1–20