Items where subject area is Finance (2020)

B
Barkai, S
(2020)
Declining labor and capital shares.
Journal of Finance, 75 (5).
pp. 2421-2463.
ISSN 0022-1082
Basak, S, Makarov, D, Shapiro, A and Subrahmanyam, M
(2020)
Security design with status concerns.
Journal of Economic Dynamics and Control, 118 (Sept).
p. 103976.
ISSN 0165-1889
Bian, B, Haselmann, R, Kick, T and Vig, V
(2020)
The Political Economy of Decentralization: Evidence from Bank Bailouts.
Working Paper.
Working Paper.
Brealey, R A, Cooper, I A and Habib, M A
(2020)
Cost of capital and valuation in the public and private sectors: tax, risk, and debt capacity.
Journal of Business Finance and Accounting, 47 (1-2).
pp. 163-187.
ISSN 0306-686X
Bretscher, L, Hsu, A, Simasek, P and Tamoni, A
(2020)
COVID-19 and the cross-section of equity returns: impact and transmission.
Review of Asset Pricing Studies, 10 (4).
pp. 705-741.
ISSN 2045-9920
Bretscher, L, Hsu, A and Tamoni, A
(2020)
Fiscal policy driven bond risk premia.
Journal of Financial Economics, 138 (1).
pp. 53-73.
ISSN 0304-405X
Bryzgalova, S, Huang, J and Julliard, C (2020) Bayesian Solutions for the Factor Zoo: We Just Ran Two Quadrillion Models. Working Paper. Social Sciences Research Network.
Bryzgalova, S and Julliard, C
(2020)
Consumption in Asset Returns.
Discussion Paper.
Systemic Risk Centre Discussion Papers DP 92.
Bryzgalova, S, Pelger, M and Zhu, J (2020) Forest Through the Trees: Building Cross-Sections of Stock Returns. Working Paper. Social Sciences Research Network.
C
Chemla, G and Hennessy, C (2020) Rational expectations and the paradox of policy-relevant natural experiments. Journal of Monetary Economics, 114. pp. 368-381. ISSN 0304-3932
Clara, Nuno (2020) Essays in financial economics. Doctoral thesis, University of London: London Business School.
Cocco, J F and Lopes, P
(2020)
Aging in Place, Housing Maintenance, and Reverse Mortgages.
Review of Economic Studies, 87 (4).
pp. 1799-1836.
ISSN 0034-6527
Corhay, A, Kung, H and Schmid, L
(2020)
Competition, Markups, and Predictable Returns.
Review of Financial Studies, 33 (12).
pp. 5906-5939.
ISSN 0893-9454
D
Dimson, E, Marsh, P and Staunton, M (2020) Divergent ESG ratings. Journal of Portfolio Management, 47 (1). pp. 75-87. ISSN 0095-4918
E
Edmans, A
(2020)
Company purpose and profit need not be in conflict if we ‘grow the pie’.
Economic Affairs, 40 (2).
pp. 287-294.
ISSN 0265-0665
Edmans, A (2020) Grow The Pie: How Great Companies Deliver Both Purpose and Profit. Cambridge University Press, Cambridge. ISBN 9781108494854
Edmans, A, Fang, V W and Huang, A (2020) The Long-Term Consequences of Short-Term Incentives. Working Paper. Social Sciences Research Network.
Eisenthal-Berkovitz, Y, Feldhütter, P and Vig, V
(2020)
Leveraged buyouts and bond credit spreads.
Journal of Financial Economics, 135 (3).
pp. 577-601.
ISSN 0304-405X
F
Fazio, D M (2020) Essays on spillovers, institutions, labor and credit. Doctoral thesis, University of London: London Business School.
Fisman, R, Sarkar, A, Skrastins, J and Vig, V
(2020)
Experience of communal conflicts and intergroup lending.
Journal of Political Economy, 128 (9).
ISSN 0022-3808
Franks, J R
(2020)
Institutional ownership and governance.
Oxford Review of Economic Policy, 36 (2).
pp. 258-274.
ISSN 0266-903X
G
Gomes, F (2020) Portfolio choice over the life-cycle: a survey. Annual Review of Financial Economics, 12 (1). pp. 277-304. ISSN 1941-1367
Gomez Cram, R (2020) Late to Recessions: Stocks and the Business Cycle. Working Paper. Working Paper.
H
Hennessy, C, Kasahara, A and Strebulaev, I (2020) Empirical analysis of corporate tax reforms: What is the null and where did it come from? Journal of Financial Economics, 135 (3). pp. 555-576. ISSN 0304-405X
Hennessy, C and Strebulaev, I A
(2020)
Beyond Random Assignment: Credible Inference and Extrapolation in Dynamic Economies.
Journal of Finance, 75 (2).
pp. 825-866.
ISSN 0022-1082
M
Meier, J-M and Servaes, H
(2020)
The benefits of buying distressed assets.
Journal of Applied Corporate Finance, 32 (4).
pp. 105-116.
ISSN 1078-1196
S
Sarkar, A (2020) Essays in empirical corporate finance. Doctoral thesis, University of London: London Business School.