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List of works by Campbell Harvey

. . . and the Cross-Section of Expected Returns

scientific article published in October 2014

A Corporate Beauty Contest

scientific article published in April 2010

An Exploratory Investigation of the Fundamental Determinants of National Equity Market Returns

scientific article published in December 1993

Capital Allocation and Delegation of Decision-Making Authority within Firms

scientific article published in August 2011

Capital Flows and the Behavior of Emerging Market Equity Returns

scientific article published in July 1998

Conditional Asset Allocation in Emerging Markets

scientific article published in January 1994

Conditioning Variables and the Cross-Section of Stock Returns

scientific article published in March 1999

Corporate Culture: Evidence from the Field

scientific article published in March 2017

Dating the Integration of World Equity Markets

scientific article published in September 1998

Does Financial Liberalization Spur Growth?

Dynamic Trading Strategies and Portfolio Choice

scientific article published in October 2004

Economic, Financial, and Fundamental Global Risk In and Out of the EMU

scientific article published in February 1999

Emerging Equity Market Volatility

scientific article published in October 1995

Emerging Equity Markets and Economic Development

Expectations of Equity Risk Premia, Volatility and Asymmetry from a Corporate Finance Perspective

Financial Openness and Productivity

scientific article published in April 2009

Foreign Speculators and Emerging Equity Markets

scientific article published in December 1997

Fundamental Determinants of National Equity Market Returns: A Perspective on Conditional Asset Pricing

scientific article published in December 1996

Global Growth Opportunities and Market Integration

scientific article published in December 2004

Growth Volatility and Financial Liberalization

scientific article published in June 2004

Investor Competence, Trading Frequency, and Home Bias

scientific article published in June 2005

Liquidity Management and Corporate Investment During a Financial Crisis

Liquidity and Expected Returns: Lessons From Emerging Markets

scientific article published in June 2005

Managerial Miscalibration

scientific article published in July 2010

Managerial Overconfidence and Corporate Policies

scientific article published in December 2007

Market Integration and Contagion

scientific article published in February 2003

Market Timing Ability and Volatility Implied in Investment Newletters' Asset Allocation Recommendations

scientific article published in October 1994

Payout Policy in the 21st Century

scientific article published in April 2003

Political Risk Spreads

scientific article published in January 2014

Predictable Risk and Returns in Emerging Markets

scientific article published in January 1994

Rethinking Performance Evaluation

scientific article published in April 2016

Sources of Risk and Expected Returns in Global Equity Markets

scientific article published in January 1994

The Dynamics of Emerging Market Equity Flows

The Economic Implications of Corporate Financial Reporting

scientific article published in June 2004

The Effect of Capital Structure When Expected Agency Costs are Extreme

scientific article published in September 2001

The European Union, the Euro, and Equity Market Integration

The Golden Dilemma

scientific article published in January 2013

The Impact of the Federal Reserve Bank's Open Market Operations

scientific article published in February 1994

The Persistence of Miscalibration

scientific article published in November 2020

The Real Effects of Financial Constraints: Evidence from a Financial Crisis

scientific article published in December 2009

The Tactical and Strategic Value of Commodity Futures

Time-Varying World Market Integration

scientific article published in August 1994

What Determines Expected International Asset Returns?

scientific article published in February 1994

What Segments Equity Markets?