Items where Subject is "Investment appraisal"

- LBS taxonomy (1239)
- Investment appraisal (58)
Article
Alvarez-Garrido, E and Dushnitsky, G (2016) Are entrepreneurial venture's innovation rates sensitive to investor complementary assets? Comparing biotech ventures backed by corporate and independent VCs. Strategic Management Journal, 37 (5). pp. 819-834. ISSN 0143-2095
Amir, E, Kama, I and Levi, S (2015) Conditional persistence of earnings components and accounting anomalies. Journal of Business Finance and Accounting, 42 (7-8). pp. 801-825. ISSN 0306-686X
Asness, C, Hazelkorn, T and Richardson, S A (2018) Buyback derangement syndrome. Journal of Portfolio Management, 44 (5). pp. 50-57. ISSN 0095-4918
Atmaz, A, Basak, S and Ruan, F (2024) Dynamic equilibrium with costly short-selling and lending market. Review of Financial Studies, 37 (2). pp. 444-506. ISSN 0893-9454
Balakrishnan, K, Core, J E and Verdi, R (2013) The relation between reporting quality and financing and investment : evidence from changes in financing capacity. Journal of Accounting Research, 52 (1). pp. 1-36. ISSN 0021-8456
Balakrishnan, K, Watts, R and Luo, Z
(2016)
Effect of accounting conservatism on corporate investment during the global financial crisis.
Journal of Business Finance and Accounting, 43 (5-6).
pp. 513-542.
ISSN 0306-686X
Basak, S, Chabakauri, G and Deniz Yavuz, M
(2019)
Investor Protection and Asset Prices.
Review of Financial Studies, 32 (12).
pp. 4905-4946.
ISSN 0893-9454
Bernard, D, Blackburne, T and Thornock, J
(2020)
Information flows among rivals and corporate investment.
Journal of Financial Economics, 136 (3).
pp. 760-779.
ISSN 0304-405X
Blyth, W, Bunn, D W, Chronopoulos, M and Munoz, J
(2016)
Systematic analysis of the evolution of electricity and carbon markets under deep decarbonisation.
Journal of Energy Markets, 9 (3).
pp. 59-94.
ISSN 1756-3607
Brendel, J and Ryans, J
(2021)
Responding to activist short sellers: allegations, firm responses, and outcomes.
Journal of Accounting Research, 59 (2).
pp. 487-528.
ISSN 0021-8456
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
Brooks, J, Palhares, D and Richardson, S A (2018) Style investing in fixed income. Journal of Portfolio Management, 44 (4). pp. 127-139. ISSN 0095-4918
Camanho, N, Hau, H and Rey, H
(2022)
Global Portfolio Rebalancing and Exchange Rates.
Review of Financial Studies, 35 (11).
pp. 5228-5274.
ISSN 0893-9454
Castellaneta, F, Gottschalg, O, Kacperczyk, O and Wright, M (2022) Experience as Dr. Jekyll and Mr. Hyde: performance outcome delays in the private equity context. Journal of Management Studies, 59 (6). pp. 1359-1385. ISSN 0022-2380
Crilly, D, Gutierrez, C and Jeong, K W (2023) Temporality and Social Entrepreneurship: The Role of Temporal Distance for Money and Social Outcomes. Academy of Management Proceedings, 2023 (1). ISSN 2151-6561
Dechow, P, Lawrence, A, Luo, M and Stamenov, V
(2024)
Media Attention and Event-Based Grouping of Stocks: An Examination of Stocks Hyped by Media Outlets as Benefiting from the Olympics.
Management Science.
ISSN 0025-1909
(In Press)
Diep, P, Eisfelt, A and Richardson, S A
(2021)
The cross section of MBS returns.
Journal of Finance, 76 (5).
pp. 2093-2151.
ISSN 0022-1082
Dimson, E and Chambers, D J (2015) The British origins of the U.S. endowment model. Financial Analysts Journal, 71 (2). pp. 10-14. ISSN 0015-198X
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
Edmans, A (2023) Applying economics – not gut feel – to ESG. Financial Analysts Journal, 79 (4). pp. 16-29. ISSN 0015-198X
Flammer, C and Ioannou, I
(2021)
Strategic Management during the Financial Crisis: How Firms Adjust their Strategic Investments in Response to Credit Market Disruptions.
Strategic Management Journal, 42 (7).
pp. 1275-1298.
ISSN 0143-2095
Galeotti, A and Ghiglino, C
(2021)
Cross-ownership and portfolio choice.
Journal of Economic Theory, 192.
p. 105194.
ISSN 0022-0531
Gomes, F, Haliassos, M and Ramadorai, T (2021) Household finance: a survey. Journal of Economic Literature, 59 (3). pp. 919-1000. ISSN 0022-0515
Gomes, F, Michaelides, A and Zhang, Y
(2022)
Tactical target date funds.
Management Science, 68 (4).
pp. 3047-3070.
ISSN 0025-1909
Hassan, T A, Schreger, J, Schwedeler, M and Tahoun, A (2024) Sources and Transmission of Country Risk. Review of Economic Studies, 91 (4). pp. 2307-2346. ISSN 0034-6527
Hennessy, C and Chemla, G
(2016)
Government as a borrower of first resort.
Journal of Monetary Economics, 84.
pp. 1-16.
ISSN 0304-3932
Israel, R, Laursen, K and Richardson, S A (2020) Is (systematic) value investing dead? Journal of Portfolio Management, 47 (2). pp. 38-62. ISSN 0095-4918
Kanze, D, Conley, M A, Okimoto, T G, Phillips, D J and Merluzzi, J
(2020)
Evidence that investors penalize female founders for lack of industry fit.
Science Advances, 6 (48).
ISSN 2375-2548
Kashyap, A K, Kovrijnykh, N, Li, Jian and Pavlova, A
(2021)
The benchmark inclusion subsidy.
Journal of Financial Economics, 142 (2).
pp. 756-774.
ISSN 0304-405X
Khastieva, D, Mohammadi, S, Hesamzadeh, M R and Bunn, D W
(2021)
Optimal transmission investment with regulated incentives based upon forward considerations of firm and intermittent resources with batteries.
IEEE Transactions on Power Systems, 36 (5).
pp. 4420-4434.
ISSN 0885-8950
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
Koijen, R, Philipson, T J and Uhlig, H (2016) Financial health economics. Econometrica, 84 (1). pp. 195-242. ISSN 1468-0262
Lawrence, A, Ryans, J and Sun, E (2017) Investor Demand for Sell-Side Research. Accounting Review, 92 (2). pp. 123-149. ISSN 0001-4826
Lawrence, A, Ryans, J, Sun, E and Laptev, N
(2018)
Earnings announcement promotions: a Yahoo Finance field experiment.
Journal of Accounting and Economics, 66 (2-3).
pp. 399-414.
ISSN 0165-4101
Lee, H, Tang, C, Yang, S A and Zhang, Y
(2022)
Dynamic Trade Finance in the Presence of Information Frictions and FinTech.
Manufacturing and Service Operations Management.
ISSN 1523-4614
(In Press)
McInerney, C and Bunn, D W
(2016)
Optimal over-installation of wind generation facilities.
Energy Economics, 61.
pp. 87-96.
ISSN 0140-9883
Mohliver, A, Divakaruni, A K and Fritsch, L (2023) Financial Analysts Penalize Female CEOs for Female-Type Speech. Academy of Management Proceedings, 2023 (1). ISSN 2151-6561
Olbert, M and Severin, P H
(2023)
Private equity and local public finances.
Journal of Accounting Research, 61 (4).
pp. 1313-1362.
ISSN 0021-8456
Ozdenoren, E, Yuan, K and Zhang, S (2023) Dynamic Asset-Backed Security Design. Review of Economic Studies, 90 (6). pp. 3282-3314. ISSN 0034-6527
Palhares, D and Richardson, S A
(2020)
Looking under the Hood of Active Credit Managers.
Financial Analysts Journal, 76 (2).
pp. 82-102.
ISSN 0015-198X
Shevlin, T, Shivakumar, L and Urcan, O
(2019)
Macroeconomic effects of corporate tax policy.
Journal of Accounting and Economics, 68 (1).
ISSN 0165-4101
Shivakumar, L and Urcan, O (2017) Why Does Aggregate Earnings Growth Reflect Information about Future Inflation? Accounting Review, 92 (6). pp. 247-276. ISSN 0001-4826
Simintzi, E, Vig, V and Volpin, P (2015) Labor Protection and Leverage. Review of Financial Studies, 28 (2). pp. 561-591. ISSN 0893-9454
Tahoun, A and Van Lent, L
(2019)
The personal wealth interests of politicians and government intervention in the economy.
Review of Finance, 23 (1).
pp. 37-74.
ISSN 1572-3097
Zacharakis, A, Alemany, L and Scarlata, M G
(2021)
A Gendered View of Risk Taking in Venture Philanthropy.
Journal of Social Entrepreneurship.
pp. 1-19.
ISSN 1942-0676
Zunino, D, Dushnitsky, G and van Praag, M (2022) How do investors evaluate past entrepreneurial failure? Unpacking failure due to lack of skill versus bad luck. Academy of Management Journal, 65 (4). pp. 1083-1109. ISSN 0001-4273
de Franco, G, Vasvari, F, Vyas, D and Wittenberg-Moerman, R
(2020)
Similarity in the restrictiveness of bond covenants.
European Accounting Review, 29 (4).
pp. 665-691.
ISSN 0963-8180
Book Section
Brealey, R A, Cooper, I A and Kaplanis, E (2016) The behaviour of sentiment-induced share returns: measurement when fundamentals are observable. In: Portfolio Construction, Measurement, and Efficiency: Essays in Honor of Jack Treynor. Springer International Publishing, Switzerland, pp. 291-313. ISBN 9783319339764
Thesis
Darendeli, A (2018) Essays on the role of information environment in capital markets. Doctoral thesis, University of London: London Business School.
Ding, Yijia (2023) Essays on Firm - Investor Relations and Organizational Misconduct. Doctoral thesis, University of London: London Business School.
Jackson, Andrew
(2003)
Market participant behaviour and equity market dynamics.
Doctoral thesis, University of London: London Business School.
Leng, Rong
(2007)
Capital structure and corporate investment choices under imperfections.
Doctoral thesis, University of London: London Business School.
Patnaik, Raja (2016) Essays in corporate finance. Doctoral thesis, University of London: London Business School.
Sarkar, Sayan (2021) Three essays on investor behaviour and entrepreneurial resource-acquisition. Doctoral thesis, University of London: London Business School.
Sturgess, Jason
(2008)
Efficiency implications of diversification by firms and banks.
Doctoral thesis, University of London: London Business School.
Young, Trevor (2021) Essays in empirical and behavioral asset pricing. Doctoral thesis, University of London: London Business School.
Zeng, Ziqing (Richard) (2021) Essays on strategy disclosures. Doctoral thesis, University of London: London Business School.