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There are 9575 results for: content related to: Empirical Evidence of Risk Shifting in Financially Distressed Firms

  1. Moral Hazard and Optimal Subsidiary Structure for Financial Institutions

    The Journal of Finance

    Volume 59, Issue 6, December 2004, Pages: 2531–2575, CHARLES KAHN and ANDREW WINTON

    Article first published online : 27 NOV 2005, DOI: 10.1111/j.1540-6261.2004.00708.x

  2. Leverage Choice and Credit Spreads when Managers Risk Shift

    The Journal of Finance

    Volume 65, Issue 6, December 2010, Pages: 2323–2362, MURRAY CARLSON and ALI LAZRAK

    Article first published online : 9 NOV 2010, DOI: 10.1111/j.1540-6261.2010.01617.x

  3. Leverage, Moral Hazard, and Liquidity

    The Journal of Finance

    Volume 66, Issue 1, February 2011, Pages: 99–138, VIRAL V. ACHARYA and S. VISWANATHAN

    Article first published online : 6 JAN 2011, DOI: 10.1111/j.1540-6261.2010.01627.x

  4. Tobin's Q, Debt Overhang, and Investment

    The Journal of Finance

    Volume 59, Issue 4, August 2004, Pages: 1717–1742, Christopher A. Hennessy

    Article first published online : 27 NOV 2005, DOI: 10.1111/j.1540-6261.2004.00677.x

  5. Why Are Buyouts Levered? The Financial Structure of Private Equity Funds

    The Journal of Finance

    Volume 64, Issue 4, August 2009, Pages: 1549–1582, ULF AXELSON, PER STRÖMBERG and MICHAEL S. WEISBACH

    Article first published online : 16 JUL 2009, DOI: 10.1111/j.1540-6261.2009.01473.x

  6. Macroeconomic Conditions and the Puzzles of Credit Spreads and Capital Structure

    The Journal of Finance

    Volume 65, Issue 6, December 2010, Pages: 2171–2212, HUI CHEN

    Article first published online : 9 NOV 2010, DOI: 10.1111/j.1540-6261.2010.01613.x

  7. Financial Distress and the Cross-section of Equity Returns

    The Journal of Finance

    Volume 66, Issue 3, June 2011, Pages: 789–822, LORENZO GARLAPPI and HONG YAN

    Article first published online : 23 MAY 2011, DOI: 10.1111/j.1540-6261.2011.01652.x

  8. High-Water Marks: High Risk Appetites? Convex Compensation, Long Horizons, and Portfolio Choice

    The Journal of Finance

    Volume 64, Issue 1, February 2009, Pages: 1–36, STAVROS PANAGEAS and MARK M. WESTERFIELD

    Article first published online : 23 JAN 2009, DOI: 10.1111/j.1540-6261.2008.01427.x

  9. Financially Constrained Stock Returns

    The Journal of Finance

    Volume 64, Issue 4, August 2009, Pages: 1827–1862, DMITRY LIVDAN, HORACIO SAPRIZA and LU ZHANG

    Article first published online : 16 JUL 2009, DOI: 10.1111/j.1540-6261.2009.01481.x

  10. Efficient Recapitalization

    The Journal of Finance

    Volume 68, Issue 1, February 2013, Pages: 1–42, THOMAS PHILIPPON and PHILIPP SCHNABL

    Article first published online : 11 JAN 2013, DOI: 10.1111/j.1540-6261.2012.01793.x

  11. The Net Benefits to Leverage

    The Journal of Finance

    Volume 65, Issue 6, December 2010, Pages: 2137–2170, ARTHUR KORTEWEG

    Article first published online : 9 NOV 2010, DOI: 10.1111/j.1540-6261.2010.01612.x

  12. The Theory of Bank Risk Taking and Competition Revisited

    The Journal of Finance

    Volume 60, Issue 3, June 2005, Pages: 1329–1343, JOHN H. BOYD and GIANNI DE NICOLÓ

    Article first published online : 3 MAY 2005, DOI: 10.1111/j.1540-6261.2005.00763.x

  13. The Cost of Debt

    The Journal of Finance

    Volume 65, Issue 6, December 2010, Pages: 2089–2136, JULES H. Van BINSBERGEN, JOHN R. GRAHAM and JIE YANG

    Article first published online : 9 NOV 2010, DOI: 10.1111/j.1540-6261.2010.01611.x

  14. Human Capital, Bankruptcy, and Capital Structure

    The Journal of Finance

    Volume 65, Issue 3, June 2010, Pages: 891–926, JONATHAN B. BERK, RICHARD STANTON and JOSEF ZECHNER

    Article first published online : 7 MAY 2010, DOI: 10.1111/j.1540-6261.2010.01556.x

  15. Measuring Distress Risk: The Effect of R&D Intensity

    The Journal of Finance

    Volume 62, Issue 6, December 2007, Pages: 2931–2967, LAUREL A. FRANZEN, KIMBERLY J. RODGERS and TIMOTHY T. SIMIN

    Article first published online : 28 NOV 2007, DOI: 10.1111/j.1540-6261.2007.01297.x

  16. The Case for Intervening in Bankers’ Pay

    The Journal of Finance

    Volume 67, Issue 3, June 2012, Pages: 849–895, JOHN THANASSOULIS

    Article first published online : 21 MAY 2012, DOI: 10.1111/j.1540-6261.2012.01736.x

  17. Incentives and Endogenous Risk Taking: A Structural View on Hedge Fund Alphas

    The Journal of Finance

    Volume 69, Issue 6, December 2014, Pages: 2819–2870, ANDREA BURASCHI, ROBERT KOSOWSKI and WORRAWAT SRITRAKUL

    Article first published online : 10 NOV 2014, DOI: 10.1111/jofi.12167

  18. Risk and the Corporate Structure of Banks

    The Journal of Finance

    Volume 65, Issue 3, June 2010, Pages: 1075–1096, GIOVANNI DELL'ARICCIA and ROBERT MARQUEZ

    Article first published online : 7 MAY 2010, DOI: 10.1111/j.1540-6261.2010.01561.x

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    Do Tests of Capital Structure Theory Mean What They Say?

    The Journal of Finance

    Volume 62, Issue 4, August 2007, Pages: 1747–1787, ILYA A. STREBULAEV

    Article first published online : 14 AUG 2007, DOI: 10.1111/j.1540-6261.2007.01256.x

  20. The Optimal Concentration of Creditors

    The Journal of Finance

    Volume 60, Issue 5, October 2005, Pages: 2193–2212, ARTURO BRIS and IVO WELCH

    Article first published online : 16 SEP 2005, DOI: 10.1111/j.1540-6261.2005.00796.x