
Biography
He is currently an associate editor of the Journal of Financial Economics. He is a former member of the faculty of the University of Chicago Graduate School of Business.
Courses
Financial Management
Research Interests
Professor Warner has teaching and research interests in portfolio theory, capital markets and corporate finance.
Teaching Interests
Portfolio theory, capital markets, corporate finance.
Publications
Measuring Innovation and Product Differentiation: Evidence from Mutual Funds
2020
Journal of Finance
You're Fired: New Evidence on Portfolio Manager Turnover and Performance
2015
Journal of Financial and Quantitative Analysis
Issue
4
Volume
50
Security Issue Timing: What Do Managers Know, and When Do They Know It?
2011
Journal of Finance
Issue
2
Volume
66
Why Do Mutual Fund Advisory Contracts Change? Fund versus Family Influences
2011
Journal of Finance
Issue
1
Volume
66