Items where subject area is Finance (2012)

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Number of items: 20.

B

Basak, S and Chabakauri, G (2012) Dynamic hedging in incomplete markets: a simple solution. Review of Financial Studies, 25 (6). pp. 1845-1896. ISSN 1465-7368

Basak, S and Makarov, D (2012) Difference in interim performance and risk taking with short-sale constraints. Journal of Financial Economics, 103 (2). pp. 377-392.

C

Cocco, J and Gomes, F (2012) Longevity risk, retirement savings, and financial innovation. Journal of Financial Economics, 103 (3). pp. 507-529.

Cooper, I, Brealey, R A and Kaplanis, E (2012) International propagation of the credit crisis: lessons for bank regulation. Journal of Applied Corporate Finance, 24 (4). pp. 36-45.

Cooper, I, Sercu, P and Vanpee, R (2012) The equity home bias puzzle: a survey. Foundations and Trends in Finance, 7 (4). pp. 289-416. ISSN 1567-2409

Cornelli, F and Felli, L (2012) How to sell a (bankrupt) company. International Review Of Finance, 12 (2). pp. 197-226.

Croce, M M, Kung, H, Nguyen, T T and Schmid, L (2012) Fiscal policies and asset prices. The Review of Financial Studies, 25 (9). pp. 2635-2672. ISSN 0893-9454 OPEN ACCESS

E

Edmans, A, Goldstein, I and Jiang, W (2012) The real effects of financial markets: the impact of prices on takeovers. Journal of Finance, 67 (3). pp. 933-971.

F

Feldhütter, P (2012) The same bond at different prices: identifying search frictions and selling pressures. Review of Financial Studies, 25 (4). pp. 1155-1206. ISSN 1465-7368

Feldhütter, P, Dick-Nielson, J and Lando, D (2012) Corporate bond liquidity before and after the onset of the subprime crisis. Journal of Financial Economics, 103 (3). pp. 471-492.

Feldhütter, P and Nielsen, M S (2012) Systematic and idiosyncratic default risk in synthetic credit markets. Journal of Financial Econometrics, 10 (2). pp. 292-324. ISSN 1479-8417

J

Julio, B, Erel, I, Kim, W and Weisbach, M S (2012) Macroeconomic Conditions and Capital Raising. Review of Financial Studies, 25 (2). pp. 341-376. ISSN 1465-7368

Julio, B and Yook, Y (2012) Political uncertainty and corporate investment cycles. Journal of Finance, 67 (1). pp. 45-83.

K

Knupfer, S and Kaustia, M (2012) Peer performance and stock market entry. Journal of Financial Economics, 104 (2). pp. 321-338.

Knupfer, S, Keloharju, M and Linnainmaa, J (2012) Do investors buy what they know? Product market choices and investment decisions. Review of Financial Studies, 25 (10). pp. 2921-2958. ISSN 1465-7368

Koijen, R, van Binsbergen, J H and Brandt, M W (2012) On the timing and pricing of dividends. American Economic Review, 102 (4). pp. 1596-1618.

L

Lewellen, S, Gorton, G and Metrick, A (2012) The safe-asset share. American Economic Review, 102 (3). pp. 101-106.

S

Servaes, H and Khorana, A (2012) What drives market share in the mutual fund industry? Review of Finance, 16 (1). pp. 81-113. ISSN 1573-692X

V

Vig, V, Keys, B J and Seru, A (2012) Lender screening and the role of securitization: evidence from prime and subprime mortgage markets. Review of Financial Studies, 25 (7). pp. 2071-2108. ISSN 1465-7368

Volpin, P, Franks, J R, Mayer, C and Wagner, H F (2012) Life cycle of family ownership: international evidence. Review of Financial Studies, 25 (6). pp. 1675-1712. ISSN 1465-7368

This list was generated on Sun Dec 16 01:02:29 2018 GMT.