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Behavioral Finance Research

Managerial Optimism: New Observations on the Unifying Theory,” European Financial Management, Vol. 25(5),1150-1167 (2019). (peer-reviewed)

Overconfidence, Compensation Contracts, and Capital Budgeting,” Journal of Finance, Vol. 66, No. 5, pp. 1725-77 (2011) (with Simon Gervais and Terry Odean). (peer-reviewed)

 

The Limits of the Limits of Arbitrage,” Review of Finance, 14(1):157-187 (2010) (with Alon Brav and Si Li), runner-up for the 2010 Deutsche Bank Prize in Financial Economics for Best Paper in the Review of Finance. (peer-reviewed)

The Rational-Behavioral Debate in Financial Economics,” Journal of Economic Methodology, 11(4) 2004 (Lead Article) (with Alon Brav and Alexander Rosenberg). (peer-reviewed)

Competing Theories of Financial Anomalies,” The Review of Financial Studies, Vol. 15, No. 2, pp. 475-506 (2002) (with Alon Brav, Duke University). Winner, Barclays Global Investors (BGI) Michael Brennan Award for the best paper published in The Review of Financial Studies. (peer-reviewed)

Managerial Optimism and Corporate Finance,” Financial Management, Vol. 31, pp. 33-45 (Summer 2002). (peer-reviewed)

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