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Number of items: 9.

Article

Hoberg, G and Kumar, N and Prabhala, N (2021) Buy-Side Competition and Momentum Profits. The Review of Financial Studies, 35 (1). pp. 254-298. ISSN 0893-9454

Alok, S and Kumar, N and Wermers, Russ (2020) Do Fund Managers Misestimate Climatic Disaster Risk. The Review of Financial Studies, 33 (3). pp. 1146-1183. ISSN 1465-7368

Deuskar, P and Kumar, N and Poland, J (2020) Signal on the Margin: Behavior of Levered Investors and Future Economic Conditions. Review of Finance, 24 (5). pp. 1039-1077. ISSN 1573-692X

Hoberg, G and Kumar, N and Prabhala, N (2017) Mutual Fund Competition, Managerial Skill, and Alpha Persistence. The Review of Financial Studies, 31 (5). pp. 1896-1929. ISSN 1465-7368

Monograph

Alok, S and Javadekar, A and Kumar, N and Wermers, R R (2022) Economic Policy Uncertainty and Global Portfolio Allocations. Working Paper. SSRN.

Alok, S and Kumar, N and Voleti, S (2022) Investor Reaction to Hypothetical Disclosures in Earnings Calls. Working Paper. SSRN.

Hoberg, G and Kumar, N and Prabhala, N (2018) Buy-Side Competition and Momentum Profits. Working Paper. SSRN.

Deuskar, P and Kumar, N and Poland, J (2017) Signal on the Margin: Behavior of Levered Investors and Future Economic Conditions. Working Paper. SSRN.

Hoberg, G and Kumar, N and Prabhala, N (2014) Mutual Fund Competition, Managerial Skill, and Alpha Persistence. Working Paper. SSRN.

This list was generated on Mon Nov 11 19:03:08 2024 IST.