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  • All HBS Web  (2,120)
    • People  (3)
    • News  (306)
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    • Multimedia  (7)
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  • 01 Oct 2001
  • Research & Ideas

Five Questions for James Austin

these collaborations? What about the downsides? Does a nonprofit run the risk of muddying or diluting its mission as a result of collaboration? A: Nonprofits in strategic alliances often state that often more than View Details
Keywords: by Carla Tishler
  • 29 Oct 2013
  • First Look

First Look: October 29

Managers Become Influential? A Field Study in Two Financial Institutions By: Hall, Matthew, Anette Mikes, and Yuval Millo Abstract—This paper, based on a five-year longitudinal study at two UK-based banks, documents and analyzes the... View Details
Keywords: Sean Silverthorne
  • Web

Social Entrepreneurship Fellowship | Social Enterprise | Harvard Business School

accomplish during the Fellowship year and beyond. Risks and opportunities Financial plan: Define how much capital you will need and how those funds will be spent. Note: to be eligible for a Fellowship, your... View Details
  • 01 Apr 2000
  • News

HBS Global Conference Set for Berlin in June

years of reunification. The conference theme, "Knowledge, Risk & Change: Business Without Walls," will give participants an opportunity to consider the future of business and financial institutions in an... View Details
  • 25 Sep 2007
  • First Look

First Look: September 25, 2007

Ventures. Forces students to grapple with the nature of financial risk in the start-up firm and assess the prospective risks and returns to a lender to such a firm. To reach a... View Details
Keywords: Martha Lagace
  • 15 Sep 2016
  • News

US Competitiveness Report Sees ‘A Nation Divided’

political system risks economic competitiveness, study finds (Financial Times) Harvard Gives the US an ‘F’ (Fortune) US Competitiveness Report Sees "A Nation Divided" (Harvard Gazette) View Details
  • 15 Apr 2011
  • News

Students Hear Wall St. Critics

cited the FCIC’s January report that found failures in financial regulations and enforcement, corporate governance, risk management, and accountability and ethics at all levels. Overarching this, Angelides... View Details
Keywords: Garry Emmons; Colleges, Universities, and Professional Schools; Educational Services; Finance
  • 10 Jan 2012
  • First Look

First Look: January 10

  PublicationsGlobal, Local, and Contagious Investor Sentiment Authors:Malcolm Baker, Jeffrey Wurgler, and Yu Yuan Publication:Journal of Financial Economics (forthcoming) Abstract We construct investor sentiment indices for six major... View Details
Keywords: Sean Silverthorne
  • February 2006 (Revised August 2006)
  • Case

Kevin McCarthy and Westlake Chemical Corporation (A)

Examines forecasting earnings/performance for a commodity chemical firm during a period of high uncertainty, highlighting the combined effects of input process (natural gas), industry capacity/utilization, and cyclicality. Assuming the role of Kevin McCarthy (the top... View Details
Keywords: Risk and Uncertainty; Futures and Commodity Futures; Forecasting and Prediction; Chemicals; Chemical Industry
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Riedl, Edward J. "Kevin McCarthy and Westlake Chemical Corporation (A)." Harvard Business School Case 106-049, February 2006. (Revised August 2006.)
  • March 1993 (Revised July 2008)
  • Case

Liability Management at General Motors

By: Peter Tufano
An analyst at General Motors charged with managing the structure of the automaker's debt must decide whether and how to modify the interest rate exposure of the firm's most recent debt offering. The analyst must take into consideration GM's liability management policy... View Details
Keywords: Borrowing and Debt; Capital Structure; Financial Management; Interest Rates; Risk Management; Auto Industry; North America
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Tufano, Peter. "Liability Management at General Motors." Harvard Business School Case 293-123, March 1993. (Revised July 2008.)
  • April 2006
  • Background Note

Understanding Corporate-Value-at-Risk through a Comprehensive and Simple Example

By: Marc L. Bertoneche and Frantz Maurer
Using a comprehensive and simple example of a firm exposed to foreign exchange risk, interest rate risk, and commodity price risk, shows how to use corporate-value-at-risk to measure and manage a firm's global exposure to risk. View Details
Keywords: Financial Markets; Interest Rates; International Finance; Globalization; Risk Management; Measurement and Metrics; Value
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Bertoneche, Marc L., and Frantz Maurer. "Understanding Corporate-Value-at-Risk through a Comprehensive and Simple Example." Harvard Business School Background Note 206-046, April 2006.
  • March 2010 (Revised December 2010)
  • Case

Danatbank

By: David A. Moss, Cole Bolton and Andrew Novo
In the summer of 1931, Germany was struggling with a deepening economic crisis. Production had fallen, unemployment was high, and bank deposits and gold were being withdrawn from the country at a rapid pace, threatening the value of the German mark. The country's third... View Details
Keywords: History; Risk Management; Business History; Capital Markets; Financial Crisis; Banks and Banking; Business and Government Relations; Banking Industry; Germany
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Moss, David A., Cole Bolton, and Andrew Novo. "Danatbank." Harvard Business School Case 710-059, March 2010. (Revised December 2010.)
  • 06 Dec 2021
  • News

Truth Be Told

Image by John Ritter In 2018, HBS associate professors Aiyesha Dey and Jonas Heese wrote a case about a whistleblower at a multi-national gambling company who exposed financial misstatements, first to his manager and later to the US... View Details
Keywords: April White; Corporate, Subsidiary, and Regional Managing Offices; Management
  • 30 Mar 2015
  • Research & Ideas

Managing the Family Business: Preparing to Sell

the family business. The portrait of the business would also typically represent more than 90 percent of the owners' wealth. “If this transition is not managed well, the family has a higher risk of losing its wealth through bad investment... View Details
Keywords: by Jonathan Pellegrin; Food & Beverage; Retail
  • Web

Introduction - Option Pricing in Theory & Practice: The Nobel Prize Research of Robert C. Merton - Exhibits - Historical Collections

the trading floor. The model offers a methodology to predict the seemingly unpredictable by using the lessons of complex mathematics and probability theory to forecast stock valuations, making it possible to successfully manage risk in... View Details
  • 08 Dec 2009
  • News

Don’t Scare the Bankers

intended) of Foxwoods than Bretton Woods, it is the bankers who have scared the rest of us to death. A measure of that concern can be found in the work of Professor David Moss, an expert on systemic risk in View Details
Keywords: Garry Emmons; Finance; Offices of Bank Holding Companies; Management
  • 09 Apr 2014
  • Research & Ideas

A Playbook for Small-Business Job Creation

high-growth companies, those with the greatest potential to create jobs. One challenge: geographic gaps across the United States. "Despite the fact that America has a very robust market for risk capital, about 70 percent of the... View Details
Keywords: by Carmen Nobel; Financial Services; Financial Services
  • 01 Dec 2009
  • News

Noted & Quoted

“We simply can’t call it capitalism if the biggest financial institutions enjoy a guarantee from the taxpayer that if they go bust, or risk going bust, they’ll be bailed out. That has to change.” — Professor... View Details
  • 01 Dec 2007
  • News

Subprime Time

modesty for all concerned: the rating agencies, the banks, asset managers. And certainly the masters of the debt universe and the Ph.D.’s with their black boxes turned out to be fallible. You can look at this as a shakedown cruise of our modern View Details
Keywords: Bruce Wasserstein, MBA '71; Finance
  • Web

Introduction - Option Pricing in Theory & Practice: The Nobel Prize Research of Robert C. Merton - Exhibits - Historical Collections

the trading floor. The model offers a methodology to predict the seemingly unpredictable by using the lessons of complex mathematics and probability theory to forecast stock valuations, making it possible to successfully manage risk in... View Details
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