Dr. Walter Reinhart

Professor of Finance

photoContact:

410-617-1555
Timonium 40g
reinhart@loyola.edu


Academic Degrees

Ph D, University of North Carolina - Chapel Hill.
MBA, Oklahoma State University.
BS, Oklahoma State University.


Representative Publications

Seung H. Han, Yoon S. Shin, Walter J. Reinhart and William T. Moore, Market Segmentation Effects in Corporate Credit Rating Changes: The Case of Emerging Markets, Journal of Financial Services Research, 35(2) 2009, 142-167.

Reinhart, W. J., Doncel, L. M., Sainz, J., A Behavioral Approach to MiFID, Banks and Banking Systems, 1, (2008).

Reinhart, W. J., Brennan, M., Behavioral Portfolios Performance Measurement, Financial Decisions, 19, 1, (2007).

Reinhart, W. J., Burns, R. M., Credito, C., Walker, J., The Clarity of Bank Loan Terminology: Practitioner versus Academic Nomenclature, Journal of Financial Education, (2007).

Keeling, K. O., Reinhart, W. J., TIPS for Investing, Journal of Taxation of Investments, Summer 2005, (2005).

Keeling, K. O., Reinhart, W. J., Treasury Inflation-Indexed Securities Provide Protection Against Inflation, Journal of Taxation of Investments, (2004), p. 9.

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