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Show Results For
- All HBS Web
(12,787)
- People (39)
- News (2,318)
- Research (8,037)
- Events (22)
- Multimedia (123)
- Faculty Publications (6,583)
- Research Summary
Financial Regulation and the Japanese Banking Crisis of the 1990s
As part of a long-term research interest in financial regulation and the role of the Ministry of Finance, Ulrike Schaede has studied various segments of Japan's financial markets to understand better the interaction between regulators and regulatees. This includes... View Details
- April 2024
- Article
Model-based Financial Regulations Impair the Transition to Net-zero Carbon Emissions
By: Matteo Gasparini, Matthew C. Ives, Ben Carr, Sophie Fry and Eric Beinhocker
Investments via the financial system are essential for fostering the green transition. However, the role of existing financial regulations in influencing investment decisions is understudied. Here we analyse data from the European Banking Authority to show that... View Details
Gasparini, Matteo, Matthew C. Ives, Ben Carr, Sophie Fry, and Eric Beinhocker. "Model-based Financial Regulations Impair the Transition to Net-zero Carbon Emissions." Nature Climate Change 14, no. 5 (April 2024): 434–435.
- 1993
- Chapter
Aspects of Financial Contracting in Venture Capital
- Web
5-Year Data Summary - Financial Report 2018
Financials Financials 5-Year Data Summary 1ms Financial Data IN MILLIONS For the Fiscal Year ended June 30... 2018 2017 2016 2015 2014 Revenues $ 856 m. 800 761 707 676... View Details
- 10 Apr 2008
- Working Paper Summaries
Where Does it Go? Spending by the Financially Constrained
- 16 Dec 2020
- Video
HBS Financial Aid Webinar for Domestic Admits Class of 2023
- December 1983 (Revised March 1999)
- Case
The United States Financial Crisis of 1931
The behavior of the Federal Reserve System during the early years of the Great Depression has been a topic of considerable controversy. The Fed, it has been argued, pursued a contracting policy, thereby helping to turn what might have been only a brief recession into... View Details
Rukstad, Michael G. "The United States Financial Crisis of 1931." Harvard Business School Case 384-115, December 1983. (Revised March 1999.)
- 2006
- Chapter
Enhancing Women's Financial Strategies for Entrepreneurial Success
By: N. M. Carter, E. J. Gatewood, P. G. Greene and M. M. Hart
Carter, N. M., E. J. Gatewood, P. G. Greene, and M. M. Hart. "Enhancing Women's Financial Strategies for Entrepreneurial Success." In Female Entrepreneurship: Implications for Education, Training & Policy, edited by N. M. Carter, C. Henry, B. O'Cinneide, and K. Johnston. London: Routledge, 2006.
- Web
Supplemental Financial Information - Annual Report 2014
Financials Supplemental Financial Information 5-Year Data Summary CFO Letter Consolidated Balance Sheet Statement of Activity & Cash Flows Supplemental Financial Information... View Details
- February 2002 (Revised February 2003)
- Case
Argentina's Financial System: The Case of Banco de Galicia
By: Rafael M. Di Tella, Tarun Khanna, Huw Pill, Alexandra de Royere and Ingrid Vogel
Describes the development of Argentina's financial system after the "Tequila Crisis" that came about as a result of the speculative attack on the Mexican peso's peg to the U.S. dollar in December 1994. Although Argentina's banking system was strengthened overall due to... View Details
Keywords: Finance; Emerging Markets; Macroeconomics; Business Strategy; Banks and Banking; Financial Crisis; Family Business; Acquisition; Banking Industry; Argentina
Di Tella, Rafael M., Tarun Khanna, Huw Pill, Alexandra de Royere, and Ingrid Vogel. "Argentina's Financial System: The Case of Banco de Galicia." Harvard Business School Case 702-033, February 2002. (Revised February 2003.)
- Web
Consolidated Balance Sheet - Financial Report 2018
Financials Consolidated Balance Sheet 3ms Assets IN MILLIONS for the Fiscal Year ended June 30... 2018 2017 2016 Cash $ 89 $ 80 $ 61 Current Use Reserves 118 145 103 Receivables, Loans, & Other Assets 214 177 178 Invested Funds Endowment... View Details
- 1993
- Chapter
Management of Risk Capital in Financial Firms
By: Robert C. Merton and André Perold
Merton, Robert C., and André Perold. "Management of Risk Capital in Financial Firms." In Financial Services: Perspectives and Challenges, edited by Samuel L. Hayes III, 215–245. Boston, MA: Harvard Business School Press, 1993.
- Article
Foreword: On Financial Innovation and Economic Growth
By: Robert C. Merton
Merton, Robert C. "Foreword: On Financial Innovation and Economic Growth." Harvard China Review 5, no. 1 (Spring 2004): 2–3.
- 24 Apr 2014
- News
Recasting environmentalism as a smart financial investment
A former managing director and partner for Goldman Sachs, where he spent 24 years, Mark Tercek (MBA 1984) is inspired by the opportunity to help businesses, governments, and environmental organizations work together in new, innovative ways. Tercek left Goldman Sachs in... View Details
- Web
Supplemental Financial Information - Annual Report 2019
Financials Supplemental Financial Information 3ms page 1 of 2 Revenues HBS funds its operations with cash from three primary sources: MBA tuition and fees, earned income (from Executive Education,... View Details
- Article
Financial Statements: Signposts as Well as Milestones
By: Henry B. Reiling and John C. Burton
Keywords: Financial Statements
Reiling, Henry B., and John C. Burton. "Financial Statements: Signposts as Well as Milestones." Harvard Business Review 50, no. 6 (November–December 1972). (Reprinted: The C.F.A. Digest (1973) (Abridged).)
- August 2020
- Article
Financial Market Risk Perceptions and the Macroeconomy
By: Carolin E. Pflueger, Emil Siriwardane and Adi Sunderam
We propose a novel measure of risk perceptions: the price of volatile stocks (PVS), defined as the book-to-market ratio of low-volatility stocks minus the book-to-market ratio of high-volatility stocks. PVS is high when perceived risk directly measured from surveys and... View Details
Keywords: Risk-centric Business Cycles; Cross-section Of Equities; Real Risk-free Rate; Real Investment; Financial Markets; Risk and Uncertainty; Perception; Investment
Pflueger, Carolin E., Emil Siriwardane, and Adi Sunderam. "Financial Market Risk Perceptions and the Macroeconomy." Quarterly Journal of Economics 135, no. 3 (August 2020).
- 06 May 2021
Investing in You: Financial Aid at HBS
Join us to learn more about how the financial aid process is one that invests in the most important resource we have - you! Hear from recent alums about their own financial aid journeys and the ways the... View Details
- 04 Aug 2021
Investing in You: Financial Aid at HBS
Join us to learn more about how the financial aid process is one that invests in the most important resource we have - you! Hear from current students and recent alums about their own financial aid journeys... View Details