Publications by William N. Goetzmann

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Is Trading Behavior Stable across Contexts? Evidence from Style and Multi-Style Investors
W. N. Goetzmann, D. W. Blackburn, and A. D. Ukhov
Quantitative Finance
2013
N
New evidence on the first financial bubble
R. G. Frehen, W. N. Goetzmann and Geert Rouwenhorst
Journal of Financial Economics
2012
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The Pricing of Soft and Hard Information: Economic Lessons from Screenplay Sales
W. N. Goetzmann, SA Ravid and R Sverdlove
Journal of Cultural Economics
2013
Tiebreaker: Certification and Multiple Credit Ratings
K. J. Cremers, D. Bongaerts, and W. N. Goetzmann
Trust and Delegation
W. N. Goetzmann, S. Brown, B. Liang, B. Schwarz, and C. Schwarz
2011
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A longer look at dividend yields
W. N. Goetzmann and P. Jorion
Journal of Business
1995
A new historical database for the NYSE 1815 to 1925: Performance and predictability
W. N. Goetzmann, R. G. Ibbotson and L. Peng
Journal of Financial Markets
2001
A spatial model of housing returns and neighborhood substitutability
W. N. Goetzmann and M. Spiegel
The Journal of Real Estate Finance and Economics
1997
Accounting for taste: Art and the financial markets over three centuries
W. N. Goetzmann
The American Economic Review
1993
An analysis of the relative performance of Japanese and foreign money management
S. J. Brown, W. N. Goetzmann, T. Hiraki and N. Shiraishi
Pacific-Basin Finance Journal
2003
An emerging market: The NYSE from 1815 to 1871
W. N. Goetzmann and R. G. Ibbotson
Journal of Financial Markets
1998
Art and Money
W. N. Goetzmann, L. Renneboog, and C. Spaenjers
American Economic Review
2011
B
British investment overseas 1870-1913: A modern portfolio theory approach
W. N. Goetzmann and A. D. Ukhov
Review of Finance
2006
C
Careers and survival: Competition and risk in the hedge fund and CTA industry
S. J. Brown, W. N. Goetzmann and J. Park
The Journal of Finance
2001
China and the World Financial Markets 1870-1930: Modern Lessons From Historical Globalization
W. Goetzmann, A. Ukhov and N. Zhu
Economic History Review
2007
Clustering methods for real estate portfolios
W. N. Goetzmann and S. M. Wachter
Real Estate Economics
1995
Cognitive dissonance and mutual fund investors
W. N. Goetzmann and N. Peles
Journal of Financial Research
1997
Competition Among University Endowments
W. Goetzmann and S. Oster
University of Chicago Press.
How the Financial Crisis and Great Recession Affected Higher Education
2013 (forthcoming)
D
Daily momentum and contrarian behavior of index fund investors
W. N. Goetzmann and M. Massa
Journal of Financial and Quantitative Analysis
2002
Day trading international mutual funds: Evidence and policy solutions
W. N. Goetzmann, Z. Ivkovic and G. Rouwenhorst
Journal of Financial and Quantitative Analysis
2001

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