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Are Options on Index Futures Profitable for Risk Averse Investors? Empirical Evidence |
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George M. Constantinides, Michal Czerwonko, Jens Carsten Jackwerth, and Styliano |
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New: Which CEO Characteristics Matter |
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Steven N. Kaplan, Mark M. Klebanov, and Morten Sorensen |
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The Causal Impact of Media in Financial Markets |
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Christopher A Parsons and Joseph E Engelberg |
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Watch What I Do, Not What I Say: The Unintended Consequences of the Homeland Investment Act |
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Dhammika Dharmapala, C. Fritz Foley, and Kristin J. Forbes |
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Public Information and Coordination: Evidence from a Credit Registry Expansion |
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Andrew Hertzberg, Jose Maria Liberti, and Daniel Paravisini |
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Municipal Debt and Marginal Tax Rates: Is there a Tax Premium in Asset Prices? |
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Francis A. Longstaff |
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Private Equity and Long-Run Investment:
The Case of Innovation |
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Josh Lerner, Morten Sorensen, and Per Stromberg |
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Intermediated Investment Management |
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Neal M. Stoughton, Youchang Wu, and Josef Zechner |
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Do Individual Investors Have Asymmetric Information Based on Work Experience? |
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Trond M. Døskeland and Hans K. Hvide |
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The Illiquidity of Corporate Bonds |
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Jack Bao, Jun Pan, and Jiang Wang |
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The Interim Trading Skills of Institutional Investors |
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Andy Puckett and Xuemin (Sterling) Yan |
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The Joy of Giving or Assisted Living? Using Strategic Surveys to Separate Public Care Aversion from Bequest Motives |
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John Ameriks, Andrew Caplin, Steven Laufer, and Stijn Van Nieuwerburgh |
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Financial Distress and the Cross Section of Equity
Returns |
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Lorenzo Garlappi and Hong Yan |
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Explaining the Magnitude of Liquidity Premia: The Roles of Return Predictability, Wealth Shocks and State-dependent Transaction Costs |
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Anthony W. Lynch and Sinan Tan |
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Style Related Comovement: Fundamentals or Labels? |
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Brian H. Boyer |
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Institutional Trade Persistence and Long-Term Equity Returns |
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Amil Dasgupta, Andrea Prat, and Michela Verardo |
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Collateral, Risk Management, and the Distribution of Debt Capacity |
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Adriano A. Rampini and S. Viswanathan |
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Employee Stock Options and Investment |
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Ilona Babenko, Michael Lemmon, and Yuri Tserlukevich |
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The Cost of Debt |
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Jules H. van Binsbergen, John R. Graham, and Jie Yang |
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Why Are CEOs Rarely Fired? Evidence from Structural Estimation |
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Lucian A. Taylor |
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Corporate Governance, Product Market Competition, and Equity Prices |
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Xavier Giroud and Holger M. Mueller |
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Bankruptcy and the Collateral Channel |
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Efraim Benmelech and Nittai K. Bergman |
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Leverage, Moral Hazard and Liquidity |
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Viral Acharya and S. Viswanathan |
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Land and Credit: A Study of the Political Economy of Banking in the United States in the Early 20th Century |
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Raghuram G. Rajan and Rodney Ramcharan |
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Stock Market Liquidity and the Business Cycle |
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Randi Næs, Johannes A. Skjeltorp, and Bernt Arne Ødegaard |
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Managerial Legacies, Entrenchment and Strategic Inertia |
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Catherine Casamatta and Alexander Guembel |
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Derivative Pricing with Liquidity Risk: Theory and Evidence from the Credit Default Swap Market |
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Dion Bongaerts, Frank de Jong, and Joost Driessen |
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Does Algorithmic Trading Improve Liquidity? |
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Terrence Hendershott, Charles M. Jones, and Albert J. Menkveld |
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The Decision to Privatize: Finance and Politics |
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I. Serdar Dinç and Nandini Gupta |
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Why Do Mutual Fund Advisory Contracts Change? Performance, Growth, and Spillover Effects |
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Jerold B. Warner and Joanna Shuang Wu |
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Local Dividend Clienteles |
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Bo Becker, Zoran Ivković, And Scott Weisbenner |
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Corporate Fraud and Business Conditions: Evidence from IPOs |
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Andrew J. Winton, Tracy Wang, and Xiaoyun Yu |
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Who Blows the Whistle on Corporate Fraud? |
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Alexander J. Dyck, Adair Morse, and Luigi Zingales |
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Are Incentive Contracts Rigged By Powerful CEOs? |
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Adair Morse, Vikram K. Nanda, and Amit Seru |
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Macroeconomic Conditions and the Puzzles of Credit Spreads and Capital Structure |
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Hui Chen |
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Asset Pricing with Garbage |
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Alexi Savov |
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Macroeconomic Conditions and the Puzzles of Credit Spreads and Capital Structure |
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Hui Chen |
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Security Issue Timing: What Do Managers Know, and When Do They Know It? |
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Dirk Jenter, Katharina Lewellen, and Jerold B. Warner |
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Sticks or Carrots? Optimal CEO Compensation when Managers are Loss-Averse |
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Ingolf Dittmann, Ernst Maug, and Oliver Spalt |
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When is a Liability not a Liability? Textual Analysis, Dictionaries, and 10-Ks |
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Tim Loughran and Bill McDonald |
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Do Buyouts (Still) Create Value? |
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Shourun Guo, Edith S. Hotchkiss, and Weihong Song |
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Leverage Choice and Credit Spread when Managers Risk Shift |
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Murray D. Carlson and Ali Lazrak |
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The Net Benefits to Leverage |
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Arthur Korteweg |
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Lucky CEOs and Lucky Directors |
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Lucian Bebchuk, Yaniv Grinstein, and Urs Peyer |