Suivre
Keith Brown
Keith Brown
Professor of Finance, University of Texas
Adresse e-mail validée de mccombs.utexas.edu
Titre
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Investment analysis and portfolio management
FK Reilly, KC Brown
中信出版社, 2002
36542002
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
18951996
Risk aversion, uncertain information, and market efficiency
KC Brown, WV Harlow, SM Tinic
Journal of financial economics 22 (2), 355-385, 1988
8141988
Why constrain your mutual fund manager?
A Almazan, KC Brown, M Carlson, DA Chapman
Journal of Financial Economics 73 (2), 289-321, 2004
7022004
Analysis of investments & management of portfolios
FK Reilly, KC Brown
(No Title), 2015
3502015
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
2511988
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
1582010
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
662009
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
441985
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