Stephen Huffman
Specialties: Investments, Risk Management, Bankruptcy, Market Efficiency, Student Investment Fund Management
Ph.D., CFA, FRM
Florida State University
Professor of Finance
The John E. Kerrigan International Endowed Professor (2005-2009)
CFA Digest Editorial Board
Sage 2485, (920) 424-7202
huffman@uwosh.edu
Dr. Huffman's Personal Home Page
Office Hours: None for the 2011-2012 academic year. Dr. Huffman is on sabbatical during that time.
Background
Dr. Huffman earned his B.B.A. and his M.B.A. from James Madison University. His research interests include bankruptcy, alternative risk measures. Huffman consults in investments and risk management.
Selected Publications
Refereed Journal Article (Published)
Huffman, S. P., Schellenger, M. H. (2010). The Value of a Simple Market-Based Metric in Predicting Bankruptcy 36 (1). Journal of Business and Economic Perspectives.
Refereed Journal Article (Published)
Huffman, S. P., Makar, S. D., Beyer, S. B. (2010). A Three-Factor Model Investigation of Foreign Exchange Rate Exposure. Global Finance Journal 21(1) 1-12.
Regular Column in Journal or Newspaper (Published)
Huffman, S.P. (2011). Article Summary of Ismail (2010). Are Good Financial Advisory Really good? The Performance of investment Banks in the M&A Market, published in Review of Quantitative Financial Accounting. CFA Digest 41 (1) 8-11.
Huffman, S. P., Schellenger, M. H. (2009). VaR as a Determinant of Capital Structure and Bankruptcy Prediction. Financial Decisions (Summer 2009) 21(1) Article 5.
Professional Memberships
American Association of Individual Investors
Beta Gamma Sigma
Chartered Financial Analyst (CFA) Institute, and Milwaukee CFA Society
The Financial Management Association
Community Involvement
Grader for Milwaukee CFA Society's Investment Research Challenge


