Marshall Sarnat

Economics, Econometrics and Finance · Social Sciences

16h-index2.9kcitations58works4.02yr avg

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Research Topics

Financial Markets and Investment Strategies(18), Corporate Finance and Governance(9), Housing Market and Economics(8), Economic theories and models(7), Financial Reporting and Valuation Research(7)

Publications58 total

Mohr Siebeck eBooks·2025· 4 cited
UTILITY FOR PORTFOLIO THEORY
2016
Journal of Banking & Finance·2001
Kapitálové investice a finanční rozhodování
1999· 1 cited
Asia Pacific Journal of Management·1992· 2 cited
The Journal of Economic History·1989
Principles of Financial Management
1988· 27 cited
Journal of Banking & Finance·1988
Managerial and Decision Economics·1987· 3 cited
Portfolio and Investment Selection: Theory and Practice
Medical Entomology and Zoology·1984· 187 cited
Journal of money credit and banking·1983· 8 cited
The Journal of Finance·1980· 337 cited
Journal of money credit and banking·1980
Southern Economic Journal·1979· 4 cited
Journal of money credit and banking·1979· 40 cited
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Frequent Co-authors

Haim Levy(24), Haim Kedar‐Levy(5), Giorgio P. Szegö(2), Ilan Vertinsky(2), Haim Ben‐Shahar(2), Richard C. Stapleton(1), Michael Keenan(1), Karl Borch(1), Fred D. Arditti(1), Dan Galai(1), David Ruthenberg(1), Ben Z. Schreiber(1), Michael Whinihan(1), Anthony E. Boardman(1), Zezhong Liu(1), Haim Levy(1), Frank Zahn(1), Yoram C. Peles(1), François Thibault(1), Terry Ursacki(1)