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Jump to: E | G | H | N | S | V
Number of items: 8.

E

Edmans, A (2011) Does the stock market fully value intangibles? Employee satisfaction and equity prices. Journal of Financial Economics, 101 (3). pp. 621-640.

G

Gorbenko, AS and Malenko, A (2011) Competition among Sellers in Securities Auctions. American Economic Review, 101 (5). pp. 1806-1841.

H

Hennessy, C and Zechner, J (2011) A Theory of Debt Market Illiquidity and Leverage Cyclicality. Review of Financial Studies, 24 (10). pp. 3369-3400. ISSN 1465-7368

Hirschey, N and Griffin, J M and Kelly, P J (2011) How Important Is the Financial Media in Global Markets? Review of Financial Studies, 24 (12). pp. 3941-3992. ISSN 1465-7368

N

Naik, N and Agarwal, V (2011) Do Hedge Funds Manage Their Reported Returns? Review of Financial Studies, 24 (10). pp. 3281-3320. ISSN 1465-7368

Naik, N and Avramov, D and Kosowski, R and Teo, M (2011) Hedge funds, managerial skill, and macroeconomic variables. Journal of Financial Economics, 99 (3). pp. 672-692.

S

Schaefer, S M and Giesecke, K and Longstaff, F A and Strebulaev, I (2011) Corporate bond default risk: A 150-year perspective. Journal of Financial Economics, 102 (2). pp. 233-250.

V

van Binsbergen, J H and Brandt, M W and Koijen, R (2011) Decentralized asset and liability management. In: The Oxford Handbook of Quantitative Asset Management. Oxford Handbooks . Oxford University Press, Oxford. ISBN 9780199553433

This list was generated on Wed Sep 20 01:02:11 2017 BST.