LabCompass

Charles Trzcinka

Economics, Econometrics and Finance · Indiana University

Publications

64

Citations

4,882

Est. group size

Recurring co-author estimate

Active years

47

Publishing since 1979

Research summary
AI-generated

Charles Trzcinka studies financial markets and investment management, with a focus on how institutional asset managers—such as mutual funds and portfolio management firms—operate, are compensated, and perform. Recent work examines topics like manager contracts, short-term institutional trading, and trading halts in the Chinese stock market. The research combines finance theory with empirical analysis of market and fund data.

Financial markets and investment strategiesInstitutional asset managementPortfolio manager compensation and contractsTrading behavior and market microstructureCorporate finance and governance

Publication activity has been modest and intermittent over the past decade, averaging under one paper per year in recent years.

Generated by claude-opus-4-8 from public bibliographic data · Jul 11, 2026

Publication cadence
Publications per year over the last 10 years — averaging 0.8/year recently
2017: 4 publications417182019: 2 publications192020: 1 publication2021222023: 1 publication232024: 2 publications242025: 1 publication2526
Recent publications
Publishes in
  • SSRN Electronic Journal×5
  • European Finance Review×1
  • Journal of Financial and Quantitative Analysis×1
  • The Journal of Finance×1
  • Management Science×1

This profile was generated automatically from public scholarly data (OpenAlex). Group size and activity levels are estimates derived from co-authorship patterns.

Last updated Jul 11, 2026.

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