Search Results

There are 8539 results for: content related to: Systemic Liquidation Risk and the Diversity–Diversification Trade-Off

  1. Leverage, Moral Hazard, and Liquidity

    The Journal of Finance

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

    Version of Record online : 6 JAN 2011, DOI: 10.1111/j.1540-6261.2010.01627.x

  2. Conflicts of Interest and Market Illiquidity in Bankruptcy Auctions: Theory and Tests

    The Journal of Finance

    Volume 55, Issue 6, December 2000, Pages: 2641–2692, Per Strömberg

    Version of Record online : 17 DEC 2002, DOI: 10.1111/0022-1082.00302

  3. Risk-Adjusting the Returns to Venture Capital

    The Journal of Finance

    Volume 71, Issue 3, June 2016, Pages: 1437–1470, ARTHUR KORTEWEG and STEFAN NAGEL

    Version of Record online : 11 MAY 2016, DOI: 10.1111/jofi.12390

  4. Access to Collateral and Corporate Debt Structure: Evidence from a Natural Experiment

    The Journal of Finance

    Volume 68, Issue 3, June 2013, Pages: 881–928, VIKRANT VIG

    Version of Record online : 20 MAY 2013, DOI: 10.1111/jofi.12020

  5. Trade Credit and Industry Dynamics: Evidence from Trucking Firms

    The Journal of Finance

    Volume 71, Issue 5, October 2016, Pages: 1975–2016, JEAN-NOËL BARROT

    Version of Record online : 14 SEP 2016, DOI: 10.1111/jofi.12371

  6. You have free access to this content
    Staying Power of UK Buy-Outs

    Journal of Business Finance & Accounting

    Volume 38, Issue 7-8, September/October 2011, Pages: 945–986, Ranko Jelic

    Version of Record online : 11 OCT 2011, DOI: 10.1111/j.1468-5957.2011.02256.x

  7. FIRE SALES FORENSICS: MEASURING ENDOGENOUS RISK

    Mathematical Finance

    Volume 26, Issue 4, October 2016, Pages: 835–866, Rama Cont and Lakshithe Wagalath

    Version of Record online : 1 SEP 2014, DOI: 10.1111/mafi.12071

  8. The Secondary Market for Hedge Funds and the Closed Hedge Fund Premium

    The Journal of Finance

    Volume 67, Issue 2, April 2012, Pages: 479–512, TARUN RAMADORAI

    Version of Record online : 27 MAR 2012, DOI: 10.1111/j.1540-6261.2012.01723.x

  9. Level Playing Fields in International Financial Regulation

    The Journal of Finance

    Volume 64, Issue 3, June 2009, Pages: 1099–1142, ALAN D. MORRISON and LUCY WHITE

    Version of Record online : 20 MAY 2009, DOI: 10.1111/j.1540-6261.2009.01460.x

  10. Risk in Dynamic Arbitrage: The Price Effects of Convergence Trading

    The Journal of Finance

    Volume 64, Issue 2, April 2009, Pages: 631–655, PÉTER KONDOR

    Version of Record online : 13 MAR 2009, DOI: 10.1111/j.1540-6261.2009.01445.x

  11. Strategic Default and Equity Risk Across Countries

    The Journal of Finance

    Volume 67, Issue 6, December 2012, Pages: 2051–2095, GIOVANNI FAVARA, ENRIQUE SCHROTH and PHILIP VALTA

    Version of Record online : 19 NOV 2012, DOI: 10.1111/j.1540-6261.2012.01781.x

  12. The Maturity Rat Race

    The Journal of Finance

    Volume 68, Issue 2, April 2013, Pages: 483–521, MARKUS K. BRUNNERMEIER and MARTIN OEHMKE

    Version of Record online : 7 MAR 2013, DOI: 10.1111/jofi.12005

    Corrected by:

    ERRATUM: The Maturity Rat Race—Erratum

    Vol. 68, Issue 3, 1305, Version of Record online: 20 MAY 2013

  13. Do Bankruptcy Codes Matter? A Study of Defaults in France, Germany, and the U.K.

    The Journal of Finance

    Volume 63, Issue 2, April 2008, Pages: 565–608, SERGEI A. DAVYDENKO and JULIAN R. FRANKS

    Version of Record online : 1 APR 2008, DOI: 10.1111/j.1540-6261.2008.01325.x

  14. Near-sighted Justice

    The Journal of Finance

    Volume 59, Issue 6, December 2004, Pages: 2655–2684, DAN BERNHARDT and ED NOSAL

    Version of Record online : 27 NOV 2005, DOI: 10.1111/j.1540-6261.2004.00712.x

  15. 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

    Version of Record online : 9 NOV 2010, DOI: 10.1111/j.1540-6261.2010.01616.x

  16. Limits of Arbitrage: Theory and Evidence from the Mortgage-Backed Securities Market

    The Journal of Finance

    Volume 62, Issue 2, April 2007, Pages: 557–595, XAVIER GABAIX, ARVIND KRISHNAMURTHY and OLIVIER VIGNERON

    Version of Record online : 20 MAR 2007, DOI: 10.1111/j.1540-6261.2007.01217.x

  17. Forced Asset Sales and the Concentration of Outstanding Debt: Evidence from the Mortgage Market

    The Journal of Finance

    Volume 72, Issue 3, June 2017, Pages: 1081–1118, GIOVANNI FAVARA and MARIASSUNTA GIANNETTI

    Version of Record online : 5 MAY 2017, DOI: 10.1111/jofi.12494

  18. A Model of Monetary Policy and Risk Premia

    The Journal of Finance

    ITAMAR DRECHSLER, ALEXI SAVOV and PHILIPP SCHNABL

    Version of Record online : 26 JUL 2017, DOI: 10.1111/jofi.12539

  19. Should Derivatives Be Privileged in Bankruptcy?

    The Journal of Finance

    Volume 70, Issue 6, December 2015, Pages: 2353–2394, PATRICK BOLTON and MARTIN OEHMKE

    Version of Record online : 12 NOV 2015, DOI: 10.1111/jofi.12201

  20. Decomposing Executive Stock Option Exercises: Relative Information and Incentives to Manage Earnings

    Journal of Business Finance & Accounting

    Volume 38, Issue 5-6, June/July 2011, Pages: 536–573, David Veenman, Allan Hodgson, Bart Van Praag and Wei Zhang

    Version of Record online : 19 APR 2011, DOI: 10.1111/j.1468-5957.2011.02239.x