Gur Huberman

Columbia Business School - Finance and Economics

Professor

3022 Broadway

New York, NY 10027

United States

SCHOLARLY PAPERS

21

DOWNLOADS
Rank 3,175

SSRN RANKINGS

Top 3,175

in Total Papers Downloads

10,961

CITATIONS
Rank 864

SSRN RANKINGS

Top 864

in Total Papers Citations

609

Scholarly Papers (21)

An Economic Analysis of the Bitcoin Payment System

Columbia Business School Research Paper No. 17-92
Number of pages: 60 Posted: 28 Aug 2017 Last Revised: 15 Nov 2018
Gur Huberman, Jacob Leshno and Ciamac C. Moallemi
Columbia Business School - Finance and Economics, Chicago Booth and Columbia Business School - Decision Risk and Operations
Downloads 2,169 (5,698)

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Bitcoin, blockchain, queueing, two-sided markets, market design, cryptocurrency

Monopoly Without a Monopolist: An Economic Analysis of the Bitcoin Payment System

Bank of Finland Research Discussion Paper No. 27/2017
Number of pages: 56 Posted: 06 Sep 2017 Last Revised: 03 Dec 2017
Gur Huberman, Jacob Leshno and Ciamac C. Moallemi
Columbia Business School - Finance and Economics, Chicago Booth and Columbia Business School - Decision Risk and Operations
Downloads 238 (120,389)

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Bitcoin, blockchain, queueing, two-sided markets, market design, cryptocurrency

Monopoly Without a Monopolist: An Economic Analysis of the Bitcoin Payment System

CEPR Discussion Paper No. DP12322
Number of pages: 55 Posted: 26 Sep 2017
Gur Huberman, Jacob Leshno and Ciamac C. Moallemi
Columbia Business School - Finance and Economics, Chicago Booth and Columbia Business School - Decision Risk and Operations
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Bitcoin, blockchain, cryptocurrency, market design, queueing, Two-sided markets

2.
Downloads 1,558 ( 10,107)
Citation 25

Optimal Liquidity Trading

EFA 2001 Barcelona Meetings; Yale ICF Working Paper No. 00-21; Yale SOM Working Paper No. ICF - 00-21
Number of pages: 59 Posted: 11 Dec 2000
Gur Huberman and Werner Stanzl
Columbia Business School - Finance and Economics and Yale University - International Center for Finance
Downloads 1,558 (9,921)
Citation 25

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Optimal Liquidity Trading

Review of Finance, Vol. 9, Issue 2, pp. 165-200, 2005
Posted: 01 Sep 2008
Gur Huberman and Werner Stanzl
Columbia Business School - Finance and Economics and Yale University - International Center for Finance

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3.

Familiarity Breeds Investment

Number of pages: 35 Posted: 21 Dec 1999
Gur Huberman
Columbia Business School - Finance and Economics
Downloads 1,205 (15,182)
Citation 313

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4.

Quasi-Arbitrage and Price Manipulation

EFA 2001 Barcelona Meetings
Number of pages: 62 Posted: 11 Jul 2001
Gur Huberman and Werner Stanzl
Columbia Business School - Finance and Economics and Yale University - International Center for Finance
Downloads 723 (31,987)
Citation 27

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5.

Arbitrage-Free Price-Update and Price-Impact Functions

Yale ICF and Yale SOM Working Paper No. 00-20
Number of pages: 49 Posted: 11 Dec 2000
Werner Stanzl and Gur Huberman
Yale University - International Center for Finance and Columbia Business School - Finance and Economics
Downloads 716 (32,409)
Citation 7

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6.
Downloads 548 ( 46,172)
Citation 65

Do Stock Price Bubbles Influence Corporate Investment?

FRB of New York Staff Report No. 177
Number of pages: 37 Posted: 28 Sep 2004
Goldman, Sachs & Co., Boston University - Department of Economics and Columbia Business School - Finance and Economics
Downloads 490 (52,537)
Citation 65

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investment, stock market, bubble, dispersion

Do Stock Price Bubbles Influence Corporate Investment?

NBER Working Paper No. w10537
Number of pages: 42 Posted: 17 Jun 2004 Last Revised: 02 Sep 2004
Boston University - Department of Economics, Goldman, Sachs & Co. and Columbia Business School - Finance and Economics
Downloads 58 (347,305)
Citation 65

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7.

Speculating on a Cure for Cancer: A Non-Event that Made Stock Prices Soar

Number of pages: 41 Posted: 15 Sep 1999
Gur Huberman and Tomer Regev
Columbia Business School - Finance and Economics and Columbia Business School
Downloads 519 (49,475)

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8.

Who Trades?

EFA 2003 Annual Conference Paper No. 645
Number of pages: 52 Posted: 24 Jul 2003
Daniel Dorn and Gur Huberman
Drexel University - Department of Finance and Columbia Business School - Finance and Economics
Downloads 436 (61,475)
Citation 8

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9.

The 1/N Heuristic in 401(K) Plans

EFA 2004 Maastricht Meetings Paper No. 2036
Number of pages: 46 Posted: 11 Jun 2004
Gur Huberman and Wei Jiang
Columbia Business School - Finance and Economics and Columbia Business School - Finance and Economics
Downloads 399 (68,434)
Citation 5

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10.

Defined Contribution Pension Plans: Determinants of Participation and Contributions Rates

Number of pages: 35 Posted: 02 Sep 2003
Gur Huberman, Sheena S. Iyengar and Wei Jiang
Columbia Business School - Finance and Economics, Columbia Business School - Management Division and Columbia Business School - Finance and Economics
Downloads 395 (69,227)
Citation 26

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Retirement Saving, Defined Contribution Plans

11.
Downloads 339 ( 82,712)
Citation 17

Preferred Risk Habitat of Individual Investors

Number of pages: 58 Posted: 10 Mar 2008 Last Revised: 23 Jul 2011
Daniel Dorn and Gur Huberman
Drexel University - Department of Finance and Columbia Business School - Finance and Economics
Downloads 169 (166,624)
Citation 17

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portfolio choice, narrow framing, investor behavior, volatility, risk aversion, diversification

Preferred Risk Habitat of Individual Investors

Number of pages: 58 Posted: 11 Feb 2009
Daniel Dorn and Gur Huberman
Drexel University - Department of Finance and Columbia Business School - Finance and Economics
Downloads 122 (218,023)
Citation 17

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Portfolio choice, narrow framing, risk aversion, diversification

Preferred Risk Habitat of Individual Investors

Number of pages: 59 Posted: 24 Aug 2011
Gur Huberman and Daniel Dorn
Columbia Business School - Finance and Economics and Drexel University - Department of Finance
Downloads 45 (390,303)
Citation 17

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Preferred Risk Habitat of Individual Investors

CEPR Discussion Paper No. DP6532
Number of pages: 56 Posted: 05 Jun 2008
Daniel Dorn and Gur Huberman
Drexel University - Department of Finance and Columbia Business School - Finance and Economics
Downloads 3 (615,832)
Citation 17
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preferred risk habitat, risk, risk aversion, stock portfolio, volatility

12.

Company Stock in 401(K) Plans

EFA 2003 Annual Conference Paper No. 659
Number of pages: 51 Posted: 26 Jul 2003
Gur Huberman and Paul Sengmueller
Columbia Business School - Finance and Economics and Tilburg University
Downloads 330 (85,265)
Citation 32

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13.
Downloads 289 ( 98,718)
Citation 1

Is the Price of Money Managers Too Low?

Number of pages: 37 Posted: 10 Jul 2006
Gur Huberman
Columbia Business School - Finance and Economics
Downloads 243 (117,917)
Citation 1

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Is the Price of Money Managers Too Low?

Rivista Bancaria, Vol. 1, No. 1, pp. 7-38, 2010
Number of pages: 32 Posted: 22 Oct 2011
Gur Huberman
Columbia Business School - Finance and Economics
Downloads 43 (397,672)
Citation 1

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Is the Price of Money Managers Too Low?

CEPR Discussion Paper No. DP6531
Number of pages: 40 Posted: 05 Jun 2008
Gur Huberman
Columbia Business School - Finance and Economics
Downloads 3 (615,832)
Citation 1
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managed fund, money manager, trading

14.
Downloads 286 ( 99,880)
Citation 30

Correlated Trading and Returns

Number of pages: 57 Posted: 07 Dec 2006
Daniel Dorn, Gur Huberman and Paul Sengmueller
Drexel University - Department of Finance, Columbia Business School - Finance and Economics and Tilburg University
Downloads 283 (100,474)
Citation 30

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individual investor behavior, discount brokerage, price impact, limit orders

Correlated Trading and Returns

CEPR Discussion Paper No. DP6530
Number of pages: 61 Posted: 05 Jun 2008
Daniel Dorn, Gur Huberman and Paul Sengmueller
Drexel University - Department of Finance, Columbia Business School - Finance and Economics and Tilburg University
Downloads 3 (615,832)
Citation 30
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correlated trading

15.
Downloads 280 (102,149)

Shortfall Aversion

Columbia Law and Economics Working Paper No. 483
Number of pages: 43 Posted: 20 Jun 2014 Last Revised: 28 Sep 2017
Paolo Guasoni, Gur Huberman and Dan Ren
Boston University - Department of Mathematics and Statistics, Columbia Business School - Finance and Economics and University of Dayton
Downloads 216 (132,610)

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loss aversion, portfolio choice, consumption, endowments

Shortfall Aversion

Columbia Business School Research Paper No. 15-22
Number of pages: 43 Posted: 15 Feb 2015 Last Revised: 28 Sep 2017
Paolo Guasoni, Gur Huberman and Dan Ren
Boston University - Department of Mathematics and Statistics, Columbia Business School - Finance and Economics and University of Dayton
Downloads 64 (330,288)

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loss aversion, portfolio choice, consumption, endowments

Shortfall Aversion

CEPR Discussion Paper No. DP10064
Number of pages: 48 Posted: 25 Sep 2014
Paolo Guasoni, Gur Huberman and Dan Ren
Boston University - Department of Mathematics and Statistics, Columbia Business School - Finance and Economics and University of Dayton
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consumption, endowments, loss aversion, portfolio choice

16.
Downloads 237 (121,333)
Citation 5

Performance Maximization of Actively Managed Funds

FRB of New York Staff Report No. 427
Number of pages: 45 Posted: 21 Jan 2010
Paolo Guasoni, Gur Huberman and Zhenyu Wang
Boston University - Department of Mathematics and Statistics, Columbia Business School - Finance and Economics and Indiana University, Kelley School of Business
Downloads 171 (164,898)
Citation 5

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alpha, hedge funds, mutual funds, portfolio management, options

Performance Maximization of Actively Managed Funds

Journal of Finanical Economics, Vol. 101, No. 3. pp. 574-595, September 2011
Number of pages: 51 Posted: 22 Oct 2011
Paolo Guasoni, Gur Huberman and Zhenyu Wang
Boston University - Department of Mathematics and Statistics, Columbia Business School - Finance and Economics and University of Texas at Austin - Department of Finance
Downloads 63 (333,026)
Citation 5

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Performance Maximization of Actively Managed Funds

CEPR Discussion Paper No. DP7676
Number of pages: 47 Posted: 10 Feb 2010
Paolo Guasoni, Gur Huberman and Zhenyu Wang
Boston University - Department of Mathematics and Statistics, Columbia Business School - Finance and Economics and Indiana University, Kelley School of Business
Downloads 3 (615,832)
Citation 5
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alpha, hedge funds, mutual funds, options, portfolio management

17.

Correct Belief, Wrong Action and a Puzzling Gender Difference

Number of pages: 17 Posted: 23 Apr 2001
Gur Huberman and Ariel Rubinstein
Columbia Business School - Finance and Economics and Tel Aviv University - Eitan Berglas School of Economics
Downloads 195 (146,360)
Citation 1

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18.

Talk and Action: What Individual Investors Say and What They Do

Review of Finance, Vol. 9, Nr. 4, pp. 437-481, 2005
Number of pages: 56 Posted: 12 Oct 2012
Daniel Dorn and Gur Huberman
Drexel University - Department of Finance and Columbia Business School - Finance and Economics
Downloads 99 (252,072)
Citation 45

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19.

Moral Hazard and Debt Maturity

CEPR Discussion Paper No. DP9930
Number of pages: 48 Posted: 02 Jun 2014
Gur Huberman and Rafael Repullo
Columbia Business School - Finance and Economics and Centre for Monetary and Financial Studies (CEMFI)
Downloads 0 (624,900)
Citation 2
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Inefficient liquidation, Long-term debt, Optimal financial contracts, Risk-shifting, Rollover risk, Short-term debt

20.

Offering vs. Choice in 401(k) Plans: Equity Exposure and Number of Funds

Journal of Finance, Forthcoming
Posted: 07 Mar 2005
Gur Huberman and Wei Jiang
Columbia Business School - Finance and Economics and Columbia Business School - Finance and Economics

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401(k) plan, choices, aggregation bias

21.

Systematic Liquidity

Journal of Financial Research
Posted: 21 Mar 2001
Gur Huberman and Dominika Halka
Columbia Business School - Finance and Economics and affiliation not provided to SSRN

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