Items where subject area is Finance (2014)
Up a levelArticle
Baghai, R, Servaes, H 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
Basak, S and Makarov, D (2014) Strategic asset allocation in money management. Journal of Finance, 69 (1). pp. 179-217. ISSN 0022-1082
Chemla, G and Hennessy, C (2014) Skin in the Game and Moral Hazard. Journal of Finance, 69 (4). pp. 1597-1641. 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
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
Servaes, H and Tamayo, A (2014) How do industry peers respond to control threats? Management Science, 60 (2). pp. 380-399. ISSN 0025-1909
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
Monograph
Januario, A V and Naik, N (2014) Testing for adverse selection of life settlements: the secondary market of life insurance policies. Working Paper. London Business School IFA Working Paper.
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.
Thesis
Akey, Pat (2014) Essays in law, politics and corporate finance. Doctoral thesis, University of London: London Business School.
Paulus, Ellen (2014) Essays on liquidity and funding frictions. Doctoral thesis, University of London: London Business School.