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There are 20425 results for: content related to: Public Information and Coordination: Evidence from a Credit Registry Expansion

  1. Option-Implied Risk Aversion Estimates

    The Journal of Finance

    Volume 59, Issue 1, February 2004, Pages: 407–446, Robert R. Bliss and Nikolaos Panigirtzoglou

    Article first published online : 27 NOV 2005, DOI: 10.1111/j.1540-6261.2004.00637.x

  2. Derivative Pricing with Liquidity Risk: Theory and Evidence from the Credit Default Swap Market

    The Journal of Finance

    Volume 66, Issue 1, February 2011, Pages: 203–240, DION BONGAERTS, FRANK DE JONG and JOOST DRIESSEN

    Article first published online : 6 JAN 2011, DOI: 10.1111/j.1540-6261.2010.01630.x

  3. Ambiguous Information, Portfolio Inertia, and Excess Volatility

    The Journal of Finance

    Volume 66, Issue 6, December 2011, Pages: 2213–2247, PHILIPP KARL ILLEDITSCH

    Article first published online : 14 NOV 2011, DOI: 10.1111/j.1540-6261.2011.01693.x

  4. Tails, Fears, and Risk Premia

    The Journal of Finance

    Volume 66, Issue 6, December 2011, Pages: 2165–2211, TIM BOLLERSLEV and VIKTOR TODOROV

    Article first published online : 14 NOV 2011, DOI: 10.1111/j.1540-6261.2011.01695.x

  5. Motivating Innovation

    The Journal of Finance

    Volume 66, Issue 5, October 2011, Pages: 1823–1860, GUSTAVO MANSO

    Article first published online : 21 SEP 2011, DOI: 10.1111/j.1540-6261.2011.01688.x

  6. Free Cash Flow, Issuance Costs, and Stock Prices

    The Journal of Finance

    Volume 66, Issue 5, October 2011, Pages: 1501–1544, JEAN-PAUL DÉCAMPS, THOMAS MARIOTTI, JEAN-CHARLES ROCHET and STÉPHANE VILLENEUVE

    Article first published online : 21 SEP 2011, DOI: 10.1111/j.1540-6261.2011.01680.x

  7. 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

  8. Overconfidence, Compensation Contracts, and Capital Budgeting

    The Journal of Finance

    Volume 66, Issue 5, October 2011, Pages: 1735–1777, SIMON GERVAIS, J. B. HEATON and TERRANCE ODEAN

    Article first published online : 21 SEP 2011, DOI: 10.1111/j.1540-6261.2011.01686.x

  9. Rollover Risk and Market Freezes

    The Journal of Finance

    Volume 66, Issue 4, August 2011, Pages: 1177–1209, VIRAL V. ACHARYA, DOUGLAS GALE and TANJU YORULMAZER

    Article first published online : 19 JUL 2011, DOI: 10.1111/j.1540-6261.2011.01669.x

  10. Estimation and Evaluation of Conditional Asset Pricing Models

    The Journal of Finance

    Volume 66, Issue 3, June 2011, Pages: 873–909, STEFAN NAGEL and KENNETH J. SINGLETON

    Article first published online : 23 MAY 2011, DOI: 10.1111/j.1540-6261.2011.01654.x

  11. 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

  12. Style-Related Comovement: Fundamentals or Labels?

    The Journal of Finance

    Volume 66, Issue 1, February 2011, Pages: 307–332, BRIAN H. BOYER

    Article first published online : 6 JAN 2011, DOI: 10.1111/j.1540-6261.2010.01633.x

  13. 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

  14. Collateral, Risk Management, and the Distribution of Debt Capacity

    The Journal of Finance

    Volume 65, Issue 6, December 2010, Pages: 2293–2322, ADRIANO A. RAMPINI and S. VISWANATHAN

    Article first published online : 9 NOV 2010, DOI: 10.1111/j.1540-6261.2010.01616.x

  15. Managerial Legacies, Entrenchment, and Strategic Inertia

    The Journal of Finance

    Volume 65, Issue 6, December 2010, Pages: 2403–2436, CATHERINE CASAMATTA and ALEXANDER GUEMBEL

    Article first published online : 9 NOV 2010, DOI: 10.1111/j.1540-6261.2010.01619.x

  16. Sticks or Carrots? Optimal CEO Compensation when Managers Are Loss Averse

    The Journal of Finance

    Volume 65, Issue 6, December 2010, Pages: 2015–2050, INGOLF DITTMANN, ERNST MAUG and OLIVER SPALT

    Article first published online : 9 NOV 2010, DOI: 10.1111/j.1540-6261.2010.01609.x

  17. Systemic Liquidation Risk and the Diversity–Diversification Trade-Off

    The Journal of Finance

    Volume 66, Issue 4, August 2011, Pages: 1141–1175, WOLF WAGNER

    Article first published online : 19 JUL 2011, DOI: 10.1111/j.1540-6261.2011.01666.x

  18. The Internal Governance of Firms

    The Journal of Finance

    Volume 66, Issue 3, June 2011, Pages: 689–720, VIRAL V. ACHARYA, STEWART C. MYERS and RAGHURAM G. RAJAN

    Article first published online : 23 MAY 2011, DOI: 10.1111/j.1540-6261.2011.01649.x

  19. Financial Speculators' Underperformance: Learning, Self-Selection, and Endogenous Liquidity

    The Journal of Finance

    Volume 62, Issue 3, June 2007, Pages: 1313–1340, REZA MAHANI and DAN BERNHARDT

    Article first published online : 8 MAY 2007, DOI: 10.1111/j.1540-6261.2007.01237.x

  20. A Unified Theory of Tobin's q, Corporate Investment, Financing, and Risk Management

    The Journal of Finance

    Volume 66, Issue 5, October 2011, Pages: 1545–1578, PATRICK BOLTON, HUI CHEN and NENG WANG

    Article first published online : 21 SEP 2011, DOI: 10.1111/j.1540-6261.2011.01681.x