Specialties: Derivative Securities, Political and Monetary Policy, Corporate Debt Issues, Bayesian Statistics
Dr. Beyer earned his B.S. from the University of Wisconsin-Madison, his M.A./M.B.A. from Western Illinois University, and his Ph.D. from the University of Missouri-Columbia. He has taught corporate finance, investments, derivatives/risk management and international finance at both undergraduate and graduate levels.
"Economies of Scope and Scale in the Mutual Fund Industry", with J. Banko and R. Dowen. Managerial Finance. 2009.
"Risk Changes Around Calls of Convertible Debt", with Luis Garcia Feijoo and Robert Johnson. Financial Review. 2009.
"The Presidential Term: Is the Third Year the Charm?", with Gerald Jensen and Robert Johnson. Journal of Portfolio Management. 2008.
"Gridlock's Gone. Now What?", with Gerald Jensen and Robert Johnson. Financial Analysts Journal. 2006.