Items where Author is "Acharya, V"
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Acharya, V, Schaefer, S M and Zhang, Y (2015) Liquidity risk and correlation risk: a clinical study of the General Motors and Ford downgrade of May 2005. Quarterly Journal of Finance, 5 (2). pp. 1-51. ISSN 2010-1392
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Acharya, V and Subramanian, K (2007) Bankruptcy Codes and Innovation. Working Paper. London Business School IFA Working Paper.
Acharya, V and Yorulmazer, T (2006) Too many to fail: an analysis of time-inconsistency in bank closure policies. Working Paper. London Business School nan.
Acharya, V and Yorulmazer, T (2005) Cash-in-the-market pricing and optimal bank bailout policy. Working Paper. London Business School IFA Working Paper.
Acharya, V, John, K and Sundaram, R K (2005) Cross-country variations in capital structures: the role of bankruptcy codes. Working Paper. London Business School IFA Working Paper.
Acharya, V, Bharath, S T and Srinivasan, A (2005) Does industry-wide distress affect defaulted firms?: evidence from creditor recoveries. Working Paper. London Business School IFA Working Paper.
Acharya, V and Johnson, T (2005) Insider trading in credit derivatives. Working Paper. London Business School IFA Working Paper.
Acharya, V, Almeida, H and Campello, M (2005) Is cash negative debt?: a hedging perspective on corporate financial policies. Working Paper. London Business School nan.
Acharya, V and Yorulmazer, T (2005) Limited liability and bank herding. Working Paper. London Business School IFA Working Paper.
Acharya, V and Bisin, A (2005) Managerial hedging, equity ownership, and firm value. Working Paper. London Business School IFA Working Paper.
Acharya, V and Yorulmazer, T (2004) A theory of procyclical bank herding. Working Paper. London Business School IFA Working Paper.
Acharya, V and Pedersen, L H (2003) Asset pricing with liquidity risk. Working Paper. London Business School IFA Working Paper.
Acharya, V and Yorulmazer, T (2003) Information contagion and inter-bank correlation in a theory of systemic risk. Working Paper. London Business School IFA Working Paper.
Acharya, V and Bisin, A (2003) Optimal financial-market integration and security design. Working Paper. London Business School IFA Working Paper.
Acharya, V, Bharath, S T and Srinivasan, A (2003) Understanding the recovery rates on defaulted securities. Working Paper. London Business School IFA Working Paper.
Acharya, V (2002) Is the international convergence of capital adequacy regulation desirable? Working Paper. London Business School IFA Working Paper.
Acharya, V and Bisin, A (2002) Managerial hedging and equity ownership. Working Paper. London Business School IFA Working Paper.
Acharya, V, Hasan, I and Saunders, A (2001) Should banks be diversified?: evidence from individual bank loan portfolios. Working Paper. London Business School IFA Working Paper.