Lee Mick Swartz

University of Southern California - Marshall School of Business

701 Exposition Blvd

Los Angeles, CA California 90089

United States

SCHOLARLY PAPERS

3

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Scholarly Papers (3)

1.

Relative Value Hedge Funds: A Behavioral Modeling of Hedge Fund Risk and Return Factors

Journal of Behavioral Finance, DOI: 10.1080/15427560.2018.1434654
Posted: 17 Apr 2018
Lee Mick Swartz and Farrokh Emami-Langroodi
University of Southern California - Marshall School of Business and Goethe University Frankfurt - House of Finance

Abstract:

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Relative Value, Hedge Fund, Factor Models, Risk Factors, Macroeconomic Indicators

2.

The Impact of Third Generation Antitakeover Laws on Shareholder Wealth

Posted: 15 Sep 1999
Lee Mick Swartz
University of Southern California - Marshall School of Business

Abstract:

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3.

Differential Trading Patterns of Institutional Investors Surrounding the Release of Management Forecasts of Annual Earnings

Posted: 02 Sep 1998
Timothy D. Cairney and Lee Mick Swartz
Florida Atlantic University and University of Southern California - Marshall School of Business

Abstract:

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