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Agarwal, V, Mullally, K A and Naik, N (2015) The economics and finance of hedge funds. Foundations and Trends in Finance, 10 (1). pp. 1-111. ISSN 1567-2395
Amir, E, Levi, S and Livne, T (2018) Do firms underreport information on cyber-attacks? Evidence from capital markets. Review of Accounting Studies, 23 (3). pp. 1177-1206. ISSN 1380-6653
Anzoategui, D, Gertler, M, Comin, D and Martinez, J (2019) Endogenous technology adoption and R&D as sources of business cycle persistence. American Economic Journal: Macroeconomics, 11 (3). pp. 67-110. ISSN 1945-7707
Becht, M, Franks, J R, Grant, J and Wagner, H (2019) The early returns to international hedge-fund activism: 2000-2010. Journal of Applied Corporate Finance, 31 (1). pp. 62-80. ISSN 1078-1196
Bretscher, L, Schmid, L and Vedolin, A (2018) Interest rate risk management in uncertain times. Review of Financial Studies, 31 (8). pp. 3019-3060. ISSN 0893-9454
DeMiguel, V, Martin-Utrera, A, Nogales, F J and Uppal, R (2019) A transaction-cost perspective on the multitude of firm characteristics. Review of Financial Studies. ISSN 0893-9454 (Accepted)
Dimson, E, Marsh, P and Staunton, M (2016) Long-term asset returns. In: Financial Market History: reflections on the past for investors today. CFA Institute Research Foundation, Charlottesville, VA, pp. 2-27. ISBN 9781944960131
Edmans, A, Goldstein, I and Jiang, W
(2015)
Feedback effects, asymmetric trading, and the limits
to arbitrage.
American Economic Review, 105 (12).
pp. 3766-3797.
ISSN 0002-8282
Edmans, A, Goncalves-Pinto, L, Groen-Xu, M and Wang, Y (2018) Strategic news releases in equity vesting months. Review of Financial Studies, 31 (11). pp. 4099-4141. ISSN 0893-9454
Edmans, A, Jayaraman, S and Schneemeier, J
(2017)
The source of information in prices and investment-price sensitivity.
Journal of Financial Economics, 126 (1).
pp. 74-96.
ISSN 0304-405X
Ehling, P and Heyerdahl-Larsen, C (2015) Complete and incomplete financial markets in multi-good economies. Journal of Economic Theory, 160 (Dec). pp. 438-462. ISSN 0022-0531
Gerko, E and Rey, H
(2017)
Monetary policy in the capitals of capital.
Journal of the European Economic Association, 15 (4).
pp. 721-745.
ISSN 1542-4766
Higson, C, Holly, S and Petrella, I (2013) Is there financial integration in the equity markets of the European Union? Economics and Finance Research, 1 (1). pp. 31-41. ISSN 2332-1039
Jacobides, M G (2014) Before prescribing the medicine, we need to better diagnose the malaise. Europe's World (28). pp. 88-89. ISSN 1784-9713
Lins, K, Servaes, H and Tamayo, A (2019) Social capital, trust, and corporate performance: how CSR helped companies during the financial crisis (and why it can keep helping them). Journal of Applied Corporate Finance, 31 (2). pp. 59-71. ISSN 1078-1196
Reichlin, L and Pill, H (2015) Exceptional policies for exceptional times: the ECB’s response to the rolling crises of the Euro Area. In: Routledge Handbook of the Economics of European Integration. Routledge International Handbooks . Routledge, Abingdon, Oxon, pp. 351-375. ISBN 9780415747707