Items where subject area is Finance (2014)

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Number of items: 27.


Basak, S and Makarov, D (2014) Strategic asset allocation in money management. Journal of Finance, 69 (1). pp. 179-217. ISSN 0022-1082

Cocco, J F (2014) Corporate pension plans. Annual Review of Financial Economics, 6. pp. 163-184. ISSN 1941-1367

Cornelli, F and Buraschi, A (2014) The economics of donations and enlightened self-interest. European Financial Management, 20 (1). pp. 1-32. ISSN 1354-7798

Dimson, E and Spaenjers, C (2014) Investing in emotional assets. Financial Analysts Journal, 70 (2). pp. 20-25. ISSN 0015-198X

Edmans, A (2014) Blockholders and corporate governance. Annual Review of Financial Economics, 6. pp. 23-50. ISSN 1941-1367

Fisman, R J, Schulz, F and Vig, V (2014) The private returns to public office. Journal of Political Economy, 122 (4). pp. 806-862. ISSN 0022-3808

Franks, J R, Mayer, C and Miyajima, H (2014) The ownership of Japanese corporations in the 20th century. Review of Financial Studies, 27 (9). pp. 2580-2625. ISSN 0893-9454

Giesecke, K, Longstaff, F A, Schaefer, S M and Strebulaev, I (2014) Macroeconomic effects of corporate default crisis: A long-term perspective. Journal of Financial Economics, 111 (2). pp. 297-310. ISSN 0304-405X

Gorbenko, A S and Malenko, A (2014) Strategic and financial bidders in takeover auctions. Journal of Finance, 69 (6). pp. 2513-2555. ISSN 0022-1082

Hennessy, C and Chemla, G (2014) Skin in the game and moral hazard. Journal of Finance, 69. pp. 1597-1641. ISSN 0022-1082

Heyerdahl-Larsen, C (2014) Asset prices and real exchange rates with deep habits. Review of Financial Studies, 27 (11). pp. 3280-3317. ISSN 0893-9454

Jenkins, R (2014) A second chance for the investment industry. CFA Magazine, 25 (4). pp. 20-21. ISSN 1543-1398

Koijen, R (2014) The cross-section of managerial ability, incentives, and risk preferences. Journal of Finance, 69 (3). pp. 1051-1098. ISSN 0022-1082

Kung, H (2014) Macroeconomic linkages between monetary policy and the term structure of interest rates. Journal of Financial Economics, 115 (1). pp. 42-57. ISSN 0304-405X OPEN ACCESS

Servaes, H, Baghai, R and Tamayo, A (2014) Have rating agencies become more conservative? Implications for capital structure and debt pricing. Journal of Finance, 69 (5). pp. 1961-2005. ISSN 0022-1082

Servaes, H and Tamayo, A (2014) How do industry peers respond to control threats? Management Science, 60 (2). pp. 380-399. ISSN 0025-1909

Simintzi, E, Vig, V and Volpin, P (2014) Labor protection and leverage. Review of Financial Studies, 28 (2). pp. 561-591. ISSN 0893-9454

Vig, V, Rajan, U and Seru, A (2014) The failure of models that predict failure: distance, incentives and defaults. Journal of Financial Economics, 115 (2). pp. 237-260. ISSN 0304-405X

Book Section

Chambers, D, Dimson, E and Ilmanen, A (2014) How the Norway model evolved. In: The Bernstein Fabozzi/Jacobs Levy Awards: Five Years of Award-Winning Articles from the Journal of Portfolio Management, 2008-2013. Institutional Investor. ISBN 9781939942067

Dimson, E (2014) Foreword. In: The Economist Guide To Investment Strategy (3rd edition): How to understand markets, risk, rewards and behaviour. Profile Books, London, xxiv. ISBN 9781781250716

Dimson, E (2014) A framework for responsible investing. In: Making capitalism more inclusive: selected speeches and essays from participants at the 2014 Conference on Inclusive Capitalism. Coalition for Inclusive Capitalism, London, N/A. ISBN 9780692234570

Dimson, E, Chambers, D and Foo, J (2014) Keynes, King's, and endowment asset management. In: How the Financial Crisis and Great Recession Affected Higher Education. National Bureau of Economic Research, Cambridge, MA, pp. 127-150. ISBN 9780226201832

Dimson, E, Marsh, P and Staunton, M (2014) Emerging markets revisited. In: Global Investment Returns Yearbook. Credit Suisse Research Institute, Zurich, Switzerland, pp. 5-15. ISBN 9783952430200

Dimson, E and Spaenjers, C (2014) Investment performance of art and other collectibles. In: Risk and Uncertainty in the Art World. Bloomsbury Publishing, London, pp. 219-238. ISBN 9781472902900

Jenkins, R and Jenkins, R W (2014) The future of risk free-assets. In: Global Public Investor 2014. Official Monetary and Financial Institutions Forum (OMFIF ), London, N/K. ISBN 9780992934903

Marsh, P R, Dimson, E and Staunton, M (2014) Growth puzzle. In: Global Investment Returns Yearbook. Credit Suisse Research Institute, Zurich, Switzerland, pp. 17-30. ISBN 9783952430200


Miranda, J A, Gomez Cram, R and Guzman, C L (2014) Can Matching Frictions Explain the Increase in Mexican Unemployment After 2008? Working Paper. Banco de México. OPEN ACCESS

This list was generated on Sun Sep 27 01:03:39 2020 BST.