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The information on the author is retrieved from: Entity Facts (by DNB = German National Library data service), DBPedia and Wikidata
Campbell R. Harvey
Dr.
Alternative spellings: C. Harvey Campbell Russell Harvey Campbell Russell Harvey C. R. Harvey Campbell Harvey
B:1958
Profession
Hochschullehrer
Economist
Affiliations
Duke University
National Bureau of Economic Research
Man Group
Ecole des hautes études commerciales (Frankreich)
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 also a research associate with the Institute of International Integration Studies at Trinity College Dublin and a visiting researcher at the University of Oxford. He served as the 2016 president of the American Finance Association. (Source: DBPedia)
Q5028080
Publishing years
6
2023
7
2022
5
2021
3
2020
3
2019
2
2018
8
2017
7
2016
3
2015
4
2014
6
2013
1
2012
5
2011
8
2010
4
2009
5
2008
5
2007
4
2006
10
2005
11
2004
7
2003
4
2002
8
2001
8
2000
7
1999
4
1998
6
1997
4
1996
9
1995
10
1994
4
1993
3
1992
7
1991
1
1990
2
1989
1
1988
Series
Working paper / National Bureau of Economic Research, Inc. (43)
Faculty research papers / The Fuqua School of Business, Duke University (6)
Discussion paper / Centre for Economic Policy Research (2)
Texto para discussão / Pontifícia Universidade Católica do Rio de Janeiro, Departamento de Economia (2)
Les cahiers de recherche / HEC Paris (2)
The international library of critical writings in financial economics (1)
The Davidson Institute working paper series (1)
Weiss Center working papers (1)
R & D / Institut Eropéen d'Administration des Affaires ; Corporate Renewal Initiative : working papers (1)
NBER working paper series (1)
Journal of financial economics (1)
Wiley finance (1)
Working paper / National Bank of Belgium (1)
Working paper / National Bank of Belgium / National Bank of Belgium (1)
NBP working paper (1)
Fisher College of Business working paper series (1)
Stanford University Graduate School of Business research paper (1)
Selected papers from a Symposium on Market Microstructure (1)