The authors are grateful to Jim Booth, Ozgur Demirtas, Atul Gupta, Jim Musumeci, Jun Qian, Sugata Roychowdhury, Ronnie Sadka, Phil Strahan, and seminar participants at Boston College for their helpful suggestions.
Bank Earnings Management and Tail Risk during the Financial Crisis
Version of Record online: 20 JAN 2014
© 2014 The Ohio State University
Journal of Money, Credit and Banking
Volume 46, Issue 1, pages 171–197, February 2014
How to Cite
COHEN, L. J., CORNETT, M. M., MARCUS, A. J. and TEHRANIAN, H. (2014), Bank Earnings Management and Tail Risk during the Financial Crisis. Journal of Money, Credit and Banking, 46: 171–197. doi: 10.1111/jmcb.12101
- Issue online: 20 JAN 2014
- Version of Record online: 20 JAN 2014
- Manuscript Accepted: 6 NOV 2012
- Manuscript Received: 25 JAN 2012
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