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Campbell R. Harvey
Campbell R. Harvey
Professor of Finance, Duke University
Verified email at duke.edu - Homepage
Title
Cited by
Cited by
Year
The economic implications of corporate financial reporting
JR Graham, CR Harvey, S Rajgopal
Journal of accounting and economics 40 (1-3), 3-73, 2005
81692005
The theory and practice of corporate finance: Evidence from the field
JR Graham, CR Harvey
Journal of financial economics 60 (2-3), 187-243, 2001
79662001
Does Financial Liberalization Spur Growth?
G Bekaert, CR Harvey, C Lundblad
Journal of Financial Economics 77, 3-56, 2005
3233*2005
Time‐varying world market integration
G Bekaert, CR Harvey
the Journal of Finance 50 (2), 403-444, 1995
31821995
Payout policy in the 21st century
A Brav, JR Graham, CR Harvey, R Michaely
Journal of financial economics 77 (3), 483-527, 2005
30802005
Conditional skewness in asset pricing tests
CR Harvey, A Siddique
The Journal of finance 55 (3), 1263-1295, 2000
30092000
The real effects of financial constraints: Evidence from a financial crisis
M Campello, JR Graham, CR Harvey
Journal of financial Economics 97 (3), 470-487, 2010
25302010
Foreign speculators and emerging equity markets
G Bekaert, CR Harvey
The journal of finance 55 (2), 565-613, 2000
25162000
Emerging equity market volatility
G Bekaert, CR Harvey
Journal of Financial economics 43 (1), 29-77, 1997
24621997
Predictable risk and returns in emerging markets
CR Harvey
The review of financial studies 8 (3), 773-816, 1995
22531995
The Variation of Economic Risk Premiums
WE Ferson, CR Harvey
Journal of Political Economy 99, 285-315, 1991
21771991
The world price of covariance risk
CR Harvey
The Journal of Finance 46 (1), 111-157, 1991
15921991
Market integration and contagion
G Bekaert, CR Harvey
National Bureau of Economic Research, 2003
14962003
Managerial miscalibration
I Ben-David, JR Graham, CR Harvey
The Quarterly journal of economics 128 (4), 1547-1584, 2013
1492*2013
Liquidity and expected returns: Lessons from emerging markets
G Bekaert, CR Harvey, C Lundblad
The Review of Financial Studies 20 (6), 1783-1831, 2007
14252007
The risk and predictability of international equity returns
WE Ferson, CR Harvey
Review of financial Studies 6 (3), 527-566, 1993
13941993
Managerial attitudes and corporate actions
JR Graham, CR Harvey, M Puri
Journal of financial economics 109 (1), 103-121, 2013
12722013
… and the cross-section of expected returns
CR Harvey, Y Liu, H Zhu
The Review of Financial Studies 29 (1), 5-68, 2016
12082016
Time-varying conditional covariances in tests of asset pricing models
CR Harvey
Journal of Financial economics 24 (2), 289-317, 1989
11091989
The strategic and tactical value of commodity futures
CB Erb, CR Harvey
Financial Analysts Journal 62 (2), 69-97, 2006
11042006
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