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Author
Campbell R. Harvey
also known as C HARVEY, C. Harvey, C. R. Harvey
University of North Carolina at Chapel Hill · Brookings Institution · DePaul University · Center for Economic and Policy Research
About this author
Works
453
Cited by
80,809
h-index
110
i10
296
ORCID ↗
Top papers
The economic implications of corporate financial reporting
John R. Graham, Campbell R. Harvey, Shiva Rajgopal
·
2005
·
Journal of Accounting and Economics
↗ 6,551
The theory and practice of corporate finance: evidence from the field
John R. Graham, Campbell R. Harvey
·
2001
·
Journal of Financial Economics
↗ 5,675
Conditional Skewness in Asset Pricing Tests
Campbell R. Harvey, Akhtar R. Siddique
·
2000
·
The Journal of Finance
↗ 2,938
Payout policy in the 21st century
Alon Brav, John R. Graham, Campbell R. Harvey, et al.
·
2005
·
Journal of Financial Economics
↗ 2,301
The real effects of financial constraints: Evidence from a financial crisis
Murillo Campello, John R. Graham, Campbell R. Harvey
·
2010
·
Journal of Financial Economics
↗ 2,247
The Economic Implications of Corporate Financial Reporting
John R. Graham, Campbell R. Harvey, Shivaram Rajgopal
·
2005
·
SSRN Electronic Journal
↗ 2,151
OA
Time‐Varying World Market Integration
Geert Bekaert, Campbell R. Harvey
·
1995
·
The Journal of Finance
↗ 2,142
OA
Does financial liberalization spur growth?
Geert Bekaert, Campbell R. Harvey, Christian Lundblad
·
2005
·
Journal of Financial Economics
↗ 2,032
… and the Cross-Section of Expected Returns
Campbell R. Harvey, Yan Liu, Caroline Zhu
·
2015
·
Review of Financial Studies
↗ 2,003
OA
Foreign Speculators and Emerging Equity Markets
Geert Bekaert, Campbell R. Harvey
·
2000
·
The Journal of Finance
↗ 1,925
The Variation of Economic Risk Premiums
Wayne E. Ferson, Campbell R. Harvey
·
1991
·
Journal of Political Economy
↗ 1,715
Emerging equity market volatility
Geert Bekaert, Campbell R. Harvey
·
1997
·
Journal of Financial Economics
↗ 1,712
Books
DeFi and the Future of Finance
2021
·
Wiley & Sons, Incorporated, John
Strategic Risk Management
2021
·
Wiley & Sons, Incorporated, John
Conditional asset allocation in emerging markets
1994
·
National Bureau of Economic Research
Predictable risk and returns in emerging markets
1994
·
National Bureau of Economic Research
What determines expected international asset returns?
1994
·
National Bureau of Economic Research
The effect of capital structure when expected agency costs are extreme
2001
·
National Bureau of Economic Research
The impact of the Federal Reserve Bank's open market operations
1994
·
National Bureau of Economic Research
The New York times dictionary of money and investing
2002
·
Times Books