Items where subject area is Finance (2017)
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Agarwal, V, Arisoy, Y E and Naik, N (2017) Volatility of aggregate volatility and hedge fund returns. Journal of Financial Economics, 125 (3). pp. 491-510. ISSN 0304-405X
Akey, P and Lewellen, S (2017) Policy uncertainty, political capital, and firm risk-taking. Working Paper. London Business School Working Paper.
Andreou, P C, Cooper, I A, Louca, A and Philip, D (2017) Bank loan loss accounting treatments, credit cycles and crash risk. British Accounting Review, 49 (5). pp. 474-492. ISSN 0890-8389
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Barkai, S (2017) Declining labor and capital shares. Working Paper. London Business School Stigler Center Working Paper.
Becht, M, Franks, J R, Grant, J and Wagner, H F (2017) Returns to Hedge Fund Activism: An International Study. Review of Financial Studies, 30 (9). pp. 2933-2971. ISSN 0893-9454
Begley, T A, Purnanandam, A and Zheng, K (2017) The strategic under-reporting of bank risk. Review of Financial Studies, 30 (10). pp. 3376-3415. ISSN 0893-9454
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Dimson, E, Marsh, P and Staunton, M D (2017) Factor-based investing: the long-term evidence. Journal of Portfolio Management, 43 (5). pp. 15-37. ISSN 0095-4918
Dow, J, Goldstein, I and Guembel, A (2017) Incentives for information production in markets where prices affect real investment. Journal of the European Economic Association, 15 (4). pp. 877-909. ISSN 1542-4766
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Edmans, A and Allen, F (2017) Editorial. Review of Finance, 21 (1). pp. 1-6. ISSN 1572-3097
Edmans, A, Fang, V and Lewellen, K (2017) Equity Vesting and Investment. Review of Financial Studies, 30 (7). pp. 2229-2271. ISSN 0893-9454
Edmans, A, Gabaix, X and Jenter, D (2017) Executive compensation : a survey of theory and evidence. In: The Handbook of the Economics of Corporate Governance. Elsevier, Amsterdam. ISBN 9780444635303
Edmans, A and Holderness, C G (2017) Blockholders: a survey of theory and evidence. In: Handbook of the Economics of Corporate Governance. Elsevier, Amsterdam. ISBN 9780444635303
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
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Fisman, R J, Paravisini, D and Vig, V (2017) Cultural Proximity and Loan Outcomes. American Economic Review, 107 (2). pp. 457-492. ISSN 0002-8282
Franks, J R and Mayer, C (2017) Evolution of ownership and control around the world: the changing face of capitalism. In: The Handbook of the Economics of Corporate Governance. Elsevier, Amsterdam, pp. 685-735.
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Gomez Cram, R (2017) How Important are Inflation Expectations for the Nominal Yield Curve? Working Paper. Wharton University of Pennsylvania Working Papers.
Gomez Cram, R (2017) Stock Return Predictability: Riding the Risk Premium. Working Paper. Social Sciences Research Network.
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Kim, H and Kung, H (2017) The Asset Redeployability Channel: How Uncertainty Affects Corporate Investment. Review of Financial Studies, 30 (1). pp. 245-280. ISSN 0893-9454
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Lines, Anton (2017) Essays on institutional investors. Doctoral thesis, University of London: London Business School.
Lins, K V, Servaes, H and Tamayo, A (2017) Social Capital, Trust, and Firm Performance: The Value of Corporate Social Responsibility during the Financial Crisis. Journal of Finance, 72 (4). pp. 1785-1824. ISSN 0022-1082
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Meier, Jean-Marie (2017) Essays in empirical corporate finance. Doctoral thesis, University of London: London Business School.
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Servaes, H and Tamayo, A (2017) The role of social capital in corporations : a review. Oxford Review of Economic Policy, 33 (2). pp. 201-220. ISSN 0266-903X
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Williams, Emily (2017) Essays on bank funding structure. Doctoral thesis, University of London: London Business School.