My Life in Finance

被引:22
作者
Fama, Eugene E. [1 ]
机构
[1] Univ Chicago, Booth Sch Business, Chicago, IL 60637 USA
来源
ANNUAL REVIEW OF FINANCIAL ECONOMICS, VOL 3 | 2011年 / 3卷
关键词
efficient markets; asset pricing; forecasting regressions; corporate finance; three-factor model; INVESTMENT DECISIONS; MARKET EQUILIBRIUM; EXPECTED RETURNS; AGENCY PROBLEMS; INTEREST-RATES; TERM PREMIUMS; CROSS-SECTION; ASSET PRICES; DIVIDENDS; STOCKS;
D O I
10.1146/annurev-financial-102710-144858
中图分类号
F8 [财政、金融];
学科分类号
0202 ;
摘要
I was invited by the editors to contribute a professional autobiography for the Annual Review of Financial Economics. I focus on what I think is my best stuff. Readers interested in the rest can download my vita from the website of the University of Chicago, Booth School of Business. I only briefly discuss ideas and their origins, to give the flavor of context and motivation. I do not attempt to review the contributions of others, which is likely to raise feathers. Mea culpa in advance. Finance is the most successful branch of economics in terms of theory and empirical work, the interplay between the two, and the penetration of financial research into other areas of economics and real-world applications. I have been doing research in finance almost since its start, when Markowitz (1952, 1959) and Modigliani & Millar (1958) set the field on the path to becoming a serious scientific discipline. It has been fun to see it all, to contribute, and to be a friend and colleague to the giants who created the field.
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页码:1 / 15
页数:15
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