Content
Undated material is presented at the end, although it may be more recent than other items
2024
- 2024-21 Common Investors across the Capital Structure: Private Debt Funds as Dual Holders
by Davydiuk, Tetiana & Erel, Isil & Jiang, Wei & Marchuk, Tatyana - 2024-20 The Private Capital Alpha
by Brown, Gregory W. & Goncalves, Andrei S. & Hu, Wendy - 2024-19 Resolving Estimation Ambiguity
by Decaire, Paul H. & Sosyura, Denis & Wittry, Michael D. - 2024-18 Expected EPS x Trailing P/E
by Ben-David, Itzhak & Chinco, Alex - 2024-17 Institutional Investors' Subjective Risk Premia: Time Variation and Disagreement
by Couts, Spencer J. & Goncalves, Andrei S. & Liu, Yicheng & Loudis, Johnathan - 2024-16 Default Risk Shocks of Financial Institutions as a Systemic Risk Indicator
by Bao, Jack & Hou, Kewei & Taoushianis, Zenon - 2024-15 Risk, the Limits of Financial Risk Management, and Corporate Resilience
by Stulz, Rene M. - 2024-14 Digital Payments and Monetary Policy Transmission
by Liang, Pauline & Sampaio, Matheus & Sarkisyan, Sergey - 2024-13 Crypto Tax Evasion
by Meling, Tom & Mogstad, Magne & Vestre, Arnstein - 2024-12 Alternative Data in Active Asset Management
by Green, T. Clifton & Zhang, Shaojun - 2024-11 Bank Payout Policy, Regulation, and Politics
by Fahlenbrach, Rudiger & Ko, Minsu & Stulz, Rene M. - 2024-10 Why Do Startups Become Unicorns Instead of Going Public?
by Davydova, Daria & Fahlenbrach, Rudiger & Sanz, Leandro & Stulz, Rene M. - 2024-09 Creative Destruction, Stock Return Volatility, and the Number of Listed Firms
by Bartram, Sohnke M. & Brown, Gregory W. & Stulz, Rene M. - 2024-08 Unexpected Gains: How Fewer Community Banks Boost Local Investment and Economic Development
by Minton, Bernadette A. & Taboada, Alvaro G. & Williamson, Rohan - 2024-07 When Protectionism Kills Talent
by Canayaz, Mehmet & Erel, Isil & Gurun, Umit G. & Wu, Yufeng - 2024-06 Risk-Adjusting the Returns to Private Debt Funds
by Erel, Isil & Flanagan, Thomas & Weisbach, Michael S. - 2024-04 Is There Information in Corporate Acquisition Plans?
by Gokkaya, Sinan & Liu, Xi & Stulz, Rene M. - 2024-03 Beyond Carry: The Prospective Interest Rate Differential and Currencuy Excess Returns
by Dong, Mike & Goto, Shingo & Xu, Yan & Zhang, Yuzhao - 2024-01 A First Look at the Historical Performance of the New NAV REITs
by Couts, Spencer J. & Goncalves, Andrei S.
2023
- 2024-02 Unsmoothing Returns of Illiquid Funds
by Couts, Spencer J. & Goncalves, Andrei S. & Rossi, Andrea - 2023-29 Steering Labor Mobility through Innovation
by Ma, Song & Wang, Wenyu & Wu, Yufeng - 2023-28 Quantifying Risk Transformation in Bank Lending
by Flanagan, Thomas - 2023-27 Relationship-Specific Investments and Firms' Boundaries: Evidence from Textual Analysis of Patents
by Bena, Jan & Erel, Isil & Wang, Daisy & Weisbach, Michael S. - 2023-26 Firm-Level Irreversibility
by Bai, Hang & Li, Erica X. N. & Xue, Chen & Zhang, Lu - 2023-25 Supply Network Fragility, Inventory Investment, and Corporate Liquidity
by Sanz, Leandro - 2023-24 Factor Value
by Zhang, Shaojun - 2023-23 Climate Change, Demand Uncertainty, and Firms' Investments: Evidence from Planned Power Plants
by Lin, Chen & Schmid, Thomas & Weisbach, Michael S. - 2023-22 Payout-Based Asset Pricing
by Goncalves, Andrei S. & Stathopoulos, Andreas - 2023-21 The US Equity Valuation Premium, Globalization, and Climate Change Risks
by Stulz, Rene M. & Doidge, Craig & Karolyi, George Andrew - 2023-20 Anomaly Predictability with the Mean-Variance Portfolio
by Favero, Carlo A. & Melone, Alessandro & Tamoni, Andrea - 2023-19 New Technology and Business Dynamics
by Hvide, Hans K. & Meling, Tom - 2023-18 Consumption Disconnect Redux
by Melone, Alessandro - 2023-17 The Value of Bank Lending
by Flanagan, Thomas - 2023-16 The Role of Domestic and Foreign Sentiment for Cross-Border Portfolio Flows
by Birru, Justin & Wynter, Matthew - 2023-15 Monetary Policy Transmission through Online Banks
by Erel, Isil & Liebersohn, Jack & Yannelis, Constantine & Earnest, Samuel - 2023-14 The Subjective Risk and Return Expectations of Institutional Investors
by Couts, Spencer J. & Goncalves, Andrei S. & Loudis, Johnathan - 2023-13 Systematic Default and Return Predictability in the Stock and Bond Markets
by Bao, Jack & Hou, Kewei & Zhang, Shaojun - 2023-12 The Politics of Academic Research
by Ringgenberg, Matthew C. & Shu, Chong & Werner, Ingrid M. - 2023-11 The Real Effects of Sentiment and Uncertainty
by Birru, Justin & Young, Trevor - 2023-10 Crisis Risk and Risk Management
by Stulz, Rene M. - 2023-09 Why Are Bank Holdings of Liquid Assets So High?
by Stulz, Rene M. & Taboada, Alvaro G. & van Dijk, Mathijs A. - 2023-08 FinTech Lending with LowTech Pricing
by Johnson, Mark J. & Ben-David, Itzhak & Lee, Jason & Yao, Vincent - 2023-07 Salient Attributes and Household Demand for Security Designs
by Vokata, Petra - 2023-06 Modeling Managers as EPS Maximizers
by Ben-David, Itzhak & Chinco, Alex - 2023-05 How Do Managers' Expectations Affect Share Repurchases?
by Ko, Minsu - 2023-04 Stereotypes about Successful Entrepreneurs
by Lyonnet, Victor & Stern, Lea H. - 2023-03 Debt Maturity Structure and Corporate Investment
by Hong, Claire Yurong & Hou, Kewei & Nguyen, Thien Tung - 2023-02 Finding Anomalies in China
by Hou, Kewei & Qiao, Fang & Zhang, Xiaoyan - 2023-01 Does Greater Public Scrutiny Hurt a Firm's Performance?
by Bennett, Benjamin & Stulz, Rene M. & Wang, Zexi
2022
- 2022-14 The Retail Execution Quality Landscape
by Dyhrberg, Anne Haubo & Shkilko, Andriy & Werner, Ingrid M. - 2022-13 Expert Network Calls
by Cao, Sean & Green, T. Clifton & Lei, Lijun (Gillian) & Zhang, Shaojun - 2022-12 The Unicorn Puzzle
by Davydova, Daria & Fahlenbrach, Rudiger & Sanz, Leandro & Stulz, Rene M. - 2022-11 Cross-Border Mergers and Acquisitions
by Erel, Isil & Jang, Yeejin & Weisbach, Michael S. - 2022-10 All Clear for Takeoff: Evidence from Airports on the Effects of Infrastructure Privatization
by Howell, Sabrina T. & Jang, Yeejin & Kim, Hyeik & Weisbach, Michael S. - 2022-09 Corporate Takeover Defenses
by Karpoff, Jonathan M. & Wittry, Michael D. - 2022-08 Stock-Oil Comovement: Fundamentals or Financialization?
by Melone, Alessandro & Randl, Otto & Sogner, Leopold & Zechner, Josef - 2022-07 The Rise of Anti-activist Poison Pills
by Eldar, Ofer & Kirmse, Tanja & Wittry, Michael D. - 2022-06 Do Investors Care about Carbon Risk? A Global Perspective
by Zhang, Shaojun - 2022-05 The Determinants of Bank Liquid Asset Holdings
by Stulz, Rene M. & Taboada, Alvaro G. & Van Dijk, Mathijs A. - 2022-04 Evolution of Debt Financing toward Less Regulated Financial Intermediaries
by Erel, Isil & Inozemtsev, Eduard - 2022-03 Asymmetric Investment Rates
by Bai, Hang & Li, Erica X. N. & Xue, Chen & Zhang, Lu - 2022-02 Venture Capital (Mis)allocation in the Age of AI
by Lyonnet, Victor & Stern, Lea H. - 2022-01 Diving into Dark Pools
by Buti, Sabrina & Rindi, Barbara & Werner, Ingrid M.
2021
- 2021-22 Bank Credit and Money Creation on Payment Networks: A Structural Analysis of Externalities and Key Players
by Li, Ye & Li, Yi & Sun, Huijun - 2021-21 An Inside View of Corporate ESG Practices
by Briscoe-Tran, Hoa - 2021-20 Cross-Border Activities as a Source of Information: Evidence from Insider Trading during the COVID-19 Crisis
by Sanz, Leandro - 2021-19 The Persistent Effects of Financial Crises on the Composition of Real Investment
by Jiang, Sheila & Li, Ye & Xu, Douglas - 2021-18 Buyouts: A Primer
by Jenkinson, Tim & Kim, Hyeik & Weisbach, Michael S. - 2021-17 Payment Risk and Bank Lending
by Li, Ye & Li, Yi - 2021-16 Corporate Transactions in Hard-to-Value Stocks
by Ben-David, Itzhak & Kim, Byungwook & Moussawi, Hala & Roulstone, Darren T. - 2021-15 Waiting on a Friend: Strategic Learning and Corporate Investment
by Decaire, Paul H. & Wittry, Michael D. - 2021-14 Why Did Small Business Fintech Lending Dry Up during March 2020?
by Ben-David, Itzhak & Johnson, Mark J. & Stulz, Rene M. - 2021-13 Specialized Investments and Firms' Boundaries: Evidence from Textual Analysis of Patents
by Bena, Jan & Erel, Isil & Wang, Daisy & Weisbach, Michael S. - 2021-12 Why Do Bank Boards Have Risk Committees?
by Stulz, Rene M. & Tompkins, James G. & Williamson, Rohan & Ye, Zhongxia Shelly - 2021-11 Risk Perceptions, Board Networks, and Directors' Monitoring
by Ding, Wenzhi & Lin, Chen & Schmid, Thomas & Weisbach, Michael S. - 2021-10 Leverage and Cash Dynamics
by DeAngelo, Harry & Goncalves, Andrei S. & Stulz, Rene M. - 2021-09 Does Retrenchment Boost Performance? Evidence from Fallen Angels
by Farroukh, Karim & Koski, Jennifer L. & Werner, Ingrid M. - 2021-08 Scammed and Scarred: Effects of Investment Fraud on Its Victims
by Knupfer, Samuli & Rantala, Ville & Vokata, Petra - 2021-07 Keeping Up with the Joneses and the Real Effects of S&P 500 Inclusion
by Bennett, Benjamin & Stulz, Rene M. & Wang, Zexi - 2021-06 Do Firms with Specialized M&A Staff Make Better Acquisitions?
by Gokkaya, Sinan & Liu, Xi & Stulz, Rene M. - 2021-05 Is Public Equity Deadly? Evidence from Workplace Safety and Productivity Tradeoffs in the Coal Industry
by Gilje, Erik P. & Wittry, Michael D. - 2021-04 Discount Rate Risk in Private Equity: Evidence from Secondary Market Transactions
by Boyer, Brian & Nadauld, Taylor D. & Vorkink, Keith P. & Weisbach, Michael S. - 2021-03 Discontinued Positive Feedback Trading and the Decline of Momentum Profitability
by Ben-David, Itzhak & Li, Jiacui & Rossi, Andrea & Song, Yang - 2021-02 The Cash Flow Sensitivity of Cash: Replication, Extension, and Robustness
by Almeida, Heitor & Campello, Murillo & Weisbach, Michael S. - 2021-01 Competition for Attention in the ETF Space
by Ben-David, Itzhak & Franzoni, Francesco A. & Kim, Byungwook & Moussawi, Rabih
2020
- 2020-31 What Explains Differences in Finance Research Productivity during the Pandemic?
by Barber, Brad M. & Jiang, Wei & Morse, Adair & Puri, Manju & Tookes, Heather & Werner, Ingrid M. - 2020-30 Managing Stablecoins: Optimal Strategies, Regulation, and Transaction Data as Productive Capital
by Li, Ye & Mayer, Simon - 2020-29 Disentangling Anomalies: Risk versus Mispricing
by Birru, Justin & Mohrschladt, Hannes & Young, Trevor - 2020-28 The Distortionary Effects of Central Bank Direct Lending on Firm Quality Dynamics
by Li, Wenhao & Li, Ye - 2020-27 Growth Forecasts and News about Monetary Policy
by Karnaukh, Nina - 2020-26 Non-Fundamental Demand and Style Returns
by Ben-David, Itzhak & Li, Jiacui & Rossi, Andrea & Song, Yang - 2020-25 ADHD, Financial Distress, and Suicide in Adulthood: A Population Study
by Beauchaine, Theodore P. & Ben-David, Itzhak & Bos, Marieke - 2020-24 Who Benefits from Analyst "Top Picks"?
by Birru, Justin & Gokkaya, Sinan & Liu, Xi & Stulz, Rene M. - 2020-23 Searching for the Equity Premium
by Bai, Hang & Zhang, Lu - 2020-22 Has the Stock Market Become Less Representative of the Economy?
by Schlingemann, Frederik P. & Stulz, Rene M. - 2020-21 Engineering Lemons
by Vokata, Petra - 2020-20 Why Are Corporate Payouts So High in the 2000s?
by Kahle, Kathleen M. & Stulz, Rene M. - 2020-19 Rise of the Machines: The Impact of Automated Underwriting
by Jansen, Mark & Nguyen, Hieu & Shams, Amin - 2020-18 Do Acquirer Announcement Returns Reflect Value Creation?
by Ben-David, Itzhak & Bhattarcharya, Utpal & Jacobsen, Stacey - 2020-17 Does Joining the S&P 500 Index Hurt Firms?
by Bennett, Benjamin & Stulz, Rene M. & Wang, Zexi - 2020-16 Does FinTech Substitute for Banks? Evidence from the Paycheck Protection Program
by Erel, Isil & Liebersohn, Jack - 2020-15 Dissecting Currency Momentum
by Zhang, Shaojun - 2020-14 The Performance of Hedge Fund Performance Fees
by Ben-David, Itzhak & Birru, Justin & Rossi, Andrea - 2020-13 Dynamic Banking and the Value of Deposits
by Bolton, Patrick & Li, Ye & Wang, Neng & Yang, Jinqiang - 2020-12 Are Bank Merger Characteristics Important for Local Community Investment?
by Minton, Bernadette A. & Taboada, Alvaro G. & Williamson, Rohan - 2020-11 The Structure of Cryptocurrency Returns
by Shams, Amin - 2020-10 Sentiment and Uncertainty
by Birru, Justin & Young, Trevor - 2020-09 How Important Is Moral Hazard for Distressed Banks?
by Ben-David, Itzhak & Palvia, Ajay A. & Stulz, Rene M. - 2020-08 Housing Risk and the Cross-Section of Returns across Many Asset Classes
by Ma, Sai & Zhang, Shaojun - 2020-07 How Valuable Is Financial Flexibility When Revenue Stops? Evidence from the COVID-19 Crisis
by Fahlenbrach, Rudiger & Rageth, Kevin & Stulz, Rene M. - 2020-06 Crisis Poison Pills
by Eldar, Ofer & Wittry, Michael D. - 2020-05 Is Financial Globalization in Reverse after the 2008 Global Financial Crisis? Evidence from Corporate Valuations
by Doidge, Craig & Karolyi, George Andrew & Stulz, Rene M. - 2020-04 Regional Divergence and House Prices
by Howard, Greg & Liebersohn, Jack - 2020-03 Are Corporate Payouts Abnormally High in the 2000s?
by Kahle, Kathleen & Stulz, Rene M. - 2020-02 Why Does Equity Capital Flow Out of High Tobin's q Industries?
by Lee, Dong Wook & Shin, Hyun-Han & Stulz, Rene M. - 2020-01 The Corporate Finance of Multinational Firms
by Erel, Isil & Jang, Yeejin & Weisbach, Michael S.
2019
- 2019-32 The Cyclicality of CEO Turnover
by Liebersohn, Carl & Packard, Heidi - 2019-30 Q-factors and Investment CAPM
by Zhang, Lu - 2019-29 Feminist Firms
by Bennett, Benjamin & Erel, Isil & Stern, Lea & Wang, Zexi - 2019-28 Token-Based Platform Finance
by Cong, Lin W. & Li, Ye & Wang, Neng - 2019-27 Public versus Private Equity
by Stulz, Rene M. - 2019-26 Climate Change, Operating Flexibility, and Corporate Investment Decisions
by Lin, Chen & Schmid, Thomas & Weisbach, Michael S. - 2019-25 Does Costly Reversibility Matter for U.S. Public Firms?
by Bai, Hang & Li, Erica X. N. & Xue, Chen & Zhang, Lu - 2019-24 An Improved Method to Predict Assignment of Stocks into Russell Indexes
by Ben-David, Itzhak & Franzoni, Francesco & Moussawi, Rabih - 2019-23 The Consequences to Directors of Deploying Poison Pills
by Johnson, William C. & Karpoff, Jonathan M. & Wittry, Michael D. - 2019-22 Attention and Biases: Evidence from Tax-Inattentive Investors
by Birru, Justin & Chague, Fernando & De-Losso, Rodrigo & Giovannetti, Bruno - 2019-21 Reusing Natural Experiments
by Heath, Davidson & Ringgenberg, Matthew C. & Samadi, Mehrdad & Werner, Ingrid M. - 2019-20 FinTech, BigTech, and the Future of Banks
by Stulz, Rene M. - 2019-19 Why is There a Secular Decline in Idiosyncratic Risk in the 2000s?
by Bartram, Sohnke M. & Brown, Gregory W. & Stulz, Rene M. - 2019-17 Can Risk Be Shared Across Investor Cohorts? Evidence from a Popular Savings Product
by Hombert, Johan & Lyonnet, Victor - 2019-16 Security Analysis: An Investment Perspective
by Hou, Kewei & Mo, Haitao & Xue, Chen & Zhang, Lu - 2019-15 Are Analyst Trade Ideas Valuable?
by Birru, Justin & Gokkaya, Sinan & Liu, Xi & Stulz, Rene M. - 2019-14 Housing Cycle and Exchange Rates
by Ma, Sai & Zhang, Shaojun - 2019-13 Clawback Provisions and Firm Risk
by Babenko, Ilona & Bennett, Benjamin & Bizjak, John M. & Coles, Jeffrey L. & Sandvik, Jason J. - 2019-12 Why Do Firms Use Equity-Based Pay? Managerial Compensation and Stock Price Informativeness
by Bennett, Benjamin & Garvey, Gerald & Milbourn, Todd & Wang, Zexi - 2019-11 Traditional and Shadow Banks
by Chretien, Edouard & Lyonnet, Victor - 2019-10 Do Distressed Banks Really Gamble for Resurrection?
by Ben-David, Itzhak & Palvia, Ajay A. & Stulz, Rene M. - 2019-03 Tick Size, Trading Strategies and Market Quality
by Werner, Ingrid M. & Wen, Yuanji & Rindi, Barbara & Buti, Sabrina - 2019-01 Securities Laws and the Choice Between Loans and Bonds for Highly Levered Firms
by Prilmeier, Robert & Stulz, Rene M. - 2018-19 Fragile New Economy: The Rise of Intangible Capital and Financial Instability
by Li, Ye - 2019-03-031 (Debt) Overhang: Evidence from Resource Extraction
by Wittry, Michael D. - 2019-9 Costs of Natural Disasters in Public Financing
by Bennett, Benjamin & Wang, Zexi - 2019-8 Expectations During the U.S. Housing Boom: Inferring Beliefs from Actions
by Ben-David, Itzhak & Towbin, Pascal & Weber, Sebastian - 2019-7 The Role of Stock Price Informativeness in Compensation Complexity
by Bennett, Benjamin & Garvey, Gerald & Milbourn, Todd & Wang, Zexi - 2019-6 How Financial Management Affects Institutional Investors’ Portfolio Choices: Evidence from Insurers
by Ge, Shan & Weisbach, Michael S. - 2019-5 What Do Mutual Fund Investors Really Care About?
by Ben-David, Itzhak & Li, Jiacui & Rossi, Andrea & Song, Yang
2018
- 2019-04 Real Effects of Climate Policy: Financial Constraints and Spillovers
by Bartram, Sohnke M. & Hou, Kewei & Kim, Sehoon - 2019-02 Persistent Government Debt and Risk Distribution
by Croce, Mariano & Nguyen, Thien & Raymond, Steve - 2018-25 Expectations Uncertainty and Household Economic Behavior
by Ben-David, Itzhak & Fermand, Elyas & Kuhnen, Camelia M. & Li, Geng - 2018-24 Why are Firms with More Managerial Ownership Worth Less?
by Fabisik, Kornelia & Fahlenbrach, Rudiger & Stulz, Rene M. & Taillard, Jerome P. - 2018-23 Public Debt and the Slope of the Term Structure
by Nguyen, Thien T. - 2018-22 Delegation Uncertainty
by Li, Yi & Wang, Chen - 2018-21 Private Equity Indices Based on Secondary Market Transactions
by Boyer, Brian & Nadauld, Taylor D. & Vorkink, Keith P. & Weisbach, Michael S. - 2018-20 Exporting Pollution
by Ben-David, Itzhak & Kleimeier, Stefanie & Viehs, Michael - 2018-18 Corporate Investment Under the Cloud of Litigation
by Bennett, Benjamin & Milbourn, Todd & Wang, Zexi - 2018-17 The Geography Channel of House Price Appreciation
by Howard, Greg & Liebersohn, Jack - 2018-16 Rediscover Predictability: Information from the Relative Prices of Long-Term and Short-Term Dividends
by Li, Ye & Wang, Chen - 2018-15 Tokenomics: Dynamic Adoption and Valuation
by Cong, Lin William & Li, Ye & Wang, Neng - 2018-14 The Dollar Ahead of FOMC Target Rate Changes
by Karnaukh, Nina - 2018-13 Nonbank Lending
by Chernenko, Sergey & Erel, Isil & Prilmeier, Robert - 2018-12 Are the Largest Banks Valued More Highly?
by Minton, Bernadette A. & Stulz, Rene M. & Taboada, Alvaro G. - 2018-11 Network Risk and Key Players: A Structural Analysis of Interbank Liquidity
by Denbee, Edward & Julliard, Christian & Li, Ye & Yuan, Kathy - 2018-10 Q5
by Hou, Kewei & Mo, Haitao & Xue, Chen & Zhang, Lu - 2018-09 Financial Constraints and Industry Dynamics
by Ben-David, Itzhak & Li, Zhi & Wang, Zexi - 2018-08 Does Capital Flow More to High Tobin's Q Industries?
by Lee, Dong & Shin, Hyun-Han & Stulz, Rene M. - 2018-07 Capital Market Anomalies and Quantitative Research
by Birru, Justin & Gokkaya, Sinan & Liu, Xi - 2018-06 Do Short Sellers Cause CEOs to Be Fired? Evidence from a Randomized Experiment
by Bennett, Benjamin & Wang, Zexi - 2018-05 Selecting Directors Using Machine Learning
by Erel, Isil & Stern, Lea Henny & Tan, Chenhao & Weisbach, Michael S. - 2018-04 What Is the Impact of Successful Cyberattacks on Target Firms?
by Kamiya, Shinichi & Kang, Jun-Koo & Kim, Jungmin & Milidonis, Andreas & Stulz, Rene M. - 2018-03 Motivating Factors
by Hou, Kewei & Mo, Haitao & Xue, Chen & Zhang, Lu - 2018-02 Why Has Idiosyncratic Risk Been Historically Low in Recent Years?
by Bartram, Sohnke M. & Brown, Gregory W. & Stulz, Rene M. - 2018-01 Eclipse of the Public Corporation or Eclipse of the Public Markets?
by Doidge, Craig & Kahle, Kathleen M. & Karolyi, George Andrew & Stulz, Rene M. - 2017-23 Is Borrowing from Banks More Expensive than Borrowing from the Market?
by Schwert, Michael - 2017-07 Accounting-Based Compensation and Debt Contracts
by Li, Zhi & Wang, Lingling & Wruck, Karen H.
2017
- 2017-30 The Finance Uncertainty Multiplier
by Alfaro, Ivan & Bloom, Nicholas & Lin, Xiaoji - 2017-29 Does the Stock Market Make Firms More Productive?
by Bennett, Benjamin & Stulz, Rene M. & Wang, Zexi - 2017-28 Corporate Deleveraging and Financial Flexibility
by DeAngelo, Harry & Goncalves, Andrei & Stulz, Rene M. - 2017-27 How Do Financial Constraints Affect Product Pricing? Evidence from Weather and Life Insurance Premiums
by Ge, Shan - 2017-26 Decreasing Returns or Mean-Reversion of Luck? The Case of Private Equity Fund Growth
by Rossi, Andrea - 2017-25 Political Uncertainty and Commodity Prices
by Hou, Kewei & Tang, Ke & Zhang, Bohui - 2017-24 Procyclical Finance: The Money View
by Li, Ye - 2017-22 The Economics of PIPEs
by Lim, Jongha & Schwert, Michael & Weisbech, Michael S. - 2017-21 The Politics of Foreclosures
by Agarwal, Sumit & Amromin, Gene & Ben-David, Itzhak & Dinc, Serdar - 2017-20 Do CEOs Make Their Own Luck? Relative Versus Absolute Performance Evaluation and Firm Risk
by Wruck, Karen H. & Wu, YiLin - 2017-18 U.S. Tick Size Pilot
by Rindi, Barbara & Werner, Ingrid M. - 2017-17 De Facto Seniority, Credit Risk, and Corporate Bond Prices
by Bao, Jack & Hou, Kewei - 2017-16 The Economics of Value Investing
by Hou, Kewei & Mo, Haitao & Xue, Chen & Zhang, Lu - 2017-15 How Important Was Contagion Through Banks During the European Sovereign Crisis?
by Beltratti, Andrea & Stulz, Rene M. - 2017-14 Can Reinvestment Risk Explain the Dividend and Bond Term Structures?
by Goncalves, Andrei - 2017-13 Corporate Liquidity, Acquisitions, and Macroeconomic Conditions
by Erel, Isil & Jang, Yeejin & Minton, Bernadette A. & Weisbach, Michael S. - 2017-12 Price Risk, Production Flexibility, and Liquidity Management: Evidence from Electricity Generating Firms
by Lin, Chen & Schmid, Thomas & Weisbach, Michael S. - 2017-12 Aggregation, Capital Heterogeneity, and the Investment CAPM
by Goncalves, Andrei & Xue, Chen & Zhang, Lu - 2017-11 Multinational Firms and the International Transmission of Crises: The Real Economy Channel
by Bena, Jan & Dinc, Serdar & Erel, Isil - 2017-10 Replicating Anomalies
by Hou, Kewei & Xue, Chen & Zhang, Lu - 2017-09 Is Post-crisis Bond Liquidity Lower?
by Anderson, Mike & Stulz, Rene M. - 2017-08 Are Larger Banks Valued More Highly?
by Minton, Bernadette A. & Stulz, Rene M. & Toboada, Alvaro G. - 2017-06 Impulsive Consumption and Financial Wellbeing: Evidence from an Increase in the Availability of Alcohol
by Ben-David, Itzhak & Bos, Marieke - 2017-05 Cash, Financial Flexibility, and Product Prices: Evidence from a Natural Experiment in the Airline Industry
by Kim, Sehoon - 2017-04 What is the Shareholder Wealth Impact of Target CEO Retention in Private Equity Deals?
by Bargeron, Leonce & Schlingemann, Frederik P. & Zutter, Chad J. & Stulz, Rene M.