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Publications

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  • All HBS Web  (301)
    • News  (53)
    • Research  (213)
  • Faculty Publications  (85)

Show Results For

  • All HBS Web  (301)
    • News  (53)
    • Research  (213)
  • Faculty Publications  (85)
← Page 9 of 301 Results →
  • Web

Standard & Poor's NetAdvantage | Baker Library

Standard & Poor's NetAdvantage Detailed descriptions of companies, industries, and mutual funds. Read More Company information includes a description of the company, stocks & bond issues, earnings estimates, dividend and split history and... View Details
  • 01 Dec 2009
  • News

An Action Plan for Economic Recovery

confidence in credit rating agencies? The first thing Congress did in 2006 was to boost competition. We now have nine approved rating agencies instead of three. However, if you are a bond issuer and you don’t like what one rating agency... View Details
Keywords: Roger Thompson; Finance
  • 13 Apr 2010
  • First Look

First Look: April 13

volatility. This paper presents evidence that movements in both the short-term nominal interest rate and the yield spread are positively related to changes in subsequent realized bond risk and View Details
Keywords: Martha Lagace
  • 14 Mar 2017
  • First Look

First Look at New Research, March 14

https://www.hbs.edu/faculty/Pages/item.aspx?num=52405 forthcoming Critical Finance Review Inflation Bets or Deflation Hedges? The Changing Risks of Nominal Bonds By: Campbell, John Y., Adi Sunderam, and Luis... View Details
Keywords: Sean Silverthorne
  • 13 Jun 2012
  • HBS Case

HBS Cases: A Startup Takes On the Credit Ratings Giants

investment decisions; fund managers employ them when describing the contents and risks of their bond portfolios; market makers use them to set debt prices. In addition, they're part of the regulatory... View Details
Keywords: by Maggie Starvish; Banking; Financial Services
  • 11 Oct 2016
  • First Look

October 11, 2016

significantly larger nominal bond risk premia and borrow less in local currency. Download working paper: https://www.hbs.edu/faculty/Pages/item.aspx?num=51720 Tort Reform and... View Details
Keywords: Sean Silverthorne
  • 01 Aug 2019
  • News

Investing for Good

arrangement to deliver social value and financial value. “The social impact bond allows government to transfer the risk of performance of particular social programs to the investors. So in the event of a... View Details
Keywords: Finance
  • 01 Mar 2012
  • News

Social Investing Pioneers

high-quality transactions to the United States to demonstrate the promise of this instrument,” Palandjian adds. “Social impact bonds have the potential to improve social outcomes at reduced taxpayer expense; shift performance View Details
Keywords: Roger Thompson; Funds, Trusts, and Other Financial Vehicles; Finance; Social Assistance; Health, Social Assistance
  • 29 Apr 2014
  • First Look

First Look: April 29

more anti-inflationary stance, while the more recent decrease in bond risks after 1997 is attributed primarily to a renewed emphasis on output stabilization and an increase in the persistence of monetary... View Details
Keywords: Sean Silverthorne
  • Web

Investment Management and Capital Markets - Course Catalog

apply in each market and type of situation. Students get a broad understanding of capital markets, assets classes, investing styles, and instruments (equity markets, bond markets, credit markets, real estate, privates, active and index... View Details
  • 22 May 2007
  • First Look

First Look: May 22, 2007

  Working PapersGlobal Currency Hedging Authors:John Y. Campbell, Karine Serfaty-de Medeiros, and Luis M. Viceira Abstract This paper considers the risk management problem of an investor who holds a diversified portfolio of global... View Details
Keywords: Martha Lagace
  • 24 Mar 2009
  • First Look

First Look: March 24, 2009

estimates around 10 can match observed risk premia for the wealthiest stockholders across sets of test assets that include the 25 Fama and French size and value portfolios, the market portfolio, View Details
Keywords: Martha Lagace
  • Person Page

Media

Media

This lists media reports covering my firm dollarDEX Investments or me (or my colleagues), or columns written by me (or my colleagues). There are all... View Details

  • 19 Feb 2008
  • News

The Scoop Behind the Silver Screen

estimated in advance by companies who specialize in this sort of analysis. Bonds can be purchased to cover cost overrun risks, too. And it doesn’t hurt to have the reality check of a bonding agent looking... View Details
Keywords: Arts, Entertainment; Business Schools & Computer & Management Training; Educational Services; Real Estate
  • 01 Dec 2002
  • News

Mary Callahan Erdoes

guiding clients through the intricacies of risk management. “In this market, even more than in a bull market, clients need a ŒSherpa' to help them navigate,” she explains. “And that's what I enjoy doing most.” When Erdoes wants advice,... View Details
Keywords: Deborah Blagg
  • 01 Jun 2002
  • News

Latin American Conference Highlights Region's Diversity

solvent and that a credible monetary policy will emerge, he said. The country also needs international support, but such aid may be hard to come by now. Asked if converting the Argentine money supply into long-term bonds that people don't... View Details
  • 25 Apr 2014
  • Research & Ideas

To Pay or Not to Pay: Argentina and the International Debt Market

Back then, Argentina tried to fend off creditors by adopting a hard-line attitude about reducing its debt obligations. When it initiated a bond exchange offer in 2005 and told its creditors to "take it or leave it," the republic... View Details
Keywords: by Laura Alfaro
  • 08 Jan 2019
  • First Look

New Research and Ideas, January 8, 2019

supply expenses are provided. Publisher's link: https://www.hbs.edu/faculty/Pages/item.aspx?num=55343 Financing the Response to Climate Change: The Pricing and Ownership of U.S. Green Bonds By: Baker, Malcolm, Daniel Bergstresser, George... View Details
Keywords: Dina Gerdeman
  • 11 Apr 2017
  • First Look

First Look at New Research, April 11

theoretical and empirical investigation of the risks of globally diversified portfolios of stocks and bonds and of optimal intertemporal global portfolio choice for long horizon investors in the presence of... View Details
  • 27 Jan 2016
  • Research & Ideas

A Politician's Investment Portfolio Might Tip Off Corruption Potential

The risk taken in a politician’s private investment portfolio is a strong indicator of whether that person will cross legal or ethical lines in office. The riskier the portfolio, the more likely the lawmaker will be involved in at least... View Details
Keywords: by Roberta Holland
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