Baker, H. Kent (Dept. of Finance and Real Estate)

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Corporate Finance Practices in Canada
Multinational Finance Journal, 2011, vol 15, no.3/4, pp. 157-192
Good Ethics
AIMR Conference Proceedings. 1994 (4), p.1-7
H. Kent Baker (Department of Finance and Real Estate)
current, Professor Baker teaches finance and served as Chair of the Department of Finance and Real Estate for 11 years and headed the Finance Center of Excellence for 8 years. Professor. Baker has received many teaching, research, and service awards including University Scholar/Teacher of the Year at American University. He also has extensive industry experience and has provided consulting and training services to more than 100 organizations. Professor Baker is highly prolific researcher and author. In fact, The Journal of Finance Literature recognized him as among the top 1% of the most prolific authors in finance during the past 50 years. He is one of the leading survey researchers in finance. Professor Baker has published more than 160 peer-reviewed articles in such outlets as the Journal of Finance, Journal of Financial and Quantitative Analysis, Financial Management, Financial Analysts Journal, and Journal of Portfolio Management. Professor Baker is also the author or editor of 25 books including several textbooks such as Understanding Financial Management: A Practical Guide (2005) . His publishers include Oxford University Press, John Wiley & Sons, Inc., and Blackwell. He is the co-editor of the Financial Markets and Investments Series at Oxford University Press. Some of recent books include: - Private Equity: Opportunities and Risks (2015) - Investment Risk Management (2015) - Public Real Estate Markets and Investments (2014) - Private Real Estate Markets and Investments (2014) - Investor Behavior: The Psychology of Financial Planning and Investing (2014) - Market Microstructure in Emerging and Developed Markets (2013) - Alternative Investments: Instruments, Performance, Benchmarks, and Strategies (2013) - Portfolio Theory and Management (2013) International Finance: A Survey (2012) - Socially Responsible Finance and Investing (2012) Survey Research in Corporate Finance (2011) - Capital Structure and Corporate Financing Decisions: Financial Analysis for Today’s Investment Projects (2011) - The Art of Capital Restructuring: Creating Shareholder Value through Mergers and Acquisitions (2011) - Behavioral Finance: Investors, Corporations, and Markets (2010) - Corporate Governance: A Synthesis of Theory, Research, and Practice (2010) - Dividends and Dividend Policy (2009) . Outside of the academic realm, he is a professional musician, who has toured and recorded. Degrees B.S.B.A. (management), Georgetown University; M.B.A., finance, M.Ed., educational administration, and D.B.A., finance, University of Maryland; M.S., quantitative methods, M.A., training and career development, Ph.D., educational administration and organ
How Biases Affect Investor Behaviour
The European Financial Review, February-March 2014, pp. 7-10
The Impact Of Insider Trading On Market Liquidity In The NASDAQ Market
Published in: Journal of Applied Business Research, v. 21, no. 4, Fall 2005
Improving the Investment Decision Process
AIMR Conference Proceedings. , 1992 (6), p. 1 - 4. (ISSN: 1535-0207)
Management Views on Real Options in Capital Budgeting
Journal of Applied Finance, Forthcoming
Small Business Financing
Journal of Entrepreneurial Finance, JEF, ISSN 1551-9570, Vol. 12, Iss. 1, pp. 27-54
Stock repurchases and false signals
Published in: Journal of Applied Business Research, v. 19, no. 2, 2003.
Survey Research in Finance
Department of Economics and Finance Working Papers, 1991-2006. Paper 47
Understanding behavioral aspects of financial planning and investing
Published in: Journal of Financial Planning, March 2015 Downloaded from ssrn.com

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