Professor Evans’ research and teaching focus is investment decision-making. He explores risk taking by mutual fund managers, the role of broker intermediation in mutual fund investing, the impact of commission bundling and other trading costs on portfolio performance and retail and institutional-investor behavior.
Evans has been cited by The New York Times, The Wall Street Journal and Forbes magazine and published in the top finance journals: Journal of Finance, Review of Financial Studies and the Journal of Financial Economics. He has also taught Executive Education courses for investment professionals from Merrill Lynch, Morgan Stanley and Citizens Bank.
B.S., M.S., University of Utah; M.A., Ph.D., Wharton School, University of PennsylvaniaRead Full Bio